• Calling days and hours of the governing body of the National Bank of Moldova for citizens.


  • Octavian Armașu, Governor of the National Bank of Moldova

    1st Monday of the month: 14.00-17.00;
    Appointment: +373 22 822 606;


  • Vladimir Munteanu, First Deputy Governor of the National Bank of Moldova

    2nd Monday of the month: 14.00-17.00;
    Appointment: +373 22 822 606;


  • Cristina Harea, Deputy Governor of the National Bank of Moldova

    3rd Monday of the month: 14.00-17.00;
    Appointment: +373 22 822 607;

  • Ion Sturzu, Deputy Governor of the National Bank of Moldova

    4th Monday of the month: 14.00-17.00;
    Appointment: +373 22 822 607.

Please, note the requirements for receiving and examining petitions to the National Bank of Moldova !

Details

 

Main navigation BNM

Expand Hide

Balance of Payments for 2013 (preliminary data)



Balance of payments of Moldova – main aggregates (US$ million)

 

2009

2010

2011

2012

2013

CURRENT ACCOUNT

-446.67

-451.34

-784.47

-495.28

-384.67

Goods and services

-1,988.54

-2,282.96

-2,872.04

-2,945.06

-2,981.13

Goods

-1,948.79

-2,219.45

-2,869.44

-2,923.98

-2,978.58

  Exports (FOB), of which:

1,326.93

1,590.43

2,277.05

2,228.06

2,470.17

     alcoholic beverages

157.26

175.84

177.81

210.65

226.75

  Imports (FOB), of which:

-3,275.72

-3,809.88

-5,146.49

-5,152.04

-5,448.75

     imports of energy resources (except electricity)

-652.99

-732.77

-1,046.76

-1,039.51

-1,045.45

Services

-39.75

-63.51

-2.60

-21.08

-2.55

  Exports  

673.11

700.31

881.47

936.32

1,028.69

  Imports

-712.86

-763.82

-884.07

-957.40

-1,031.24

Income

321.24

504.70

571.52

839.78

884.71

  inflow, of which:

592.06

766.98

926.75

1,051.80

1,160.07

    compensation of employees

563.42

742.96

899.03

1,012.53

1,114.76

  outflow, of which:

-270.82

-262.28

-355.23

-212.02

-275.36

    dividends and distributed branch profits on direct investment

-134.65

-124.65

-153.28

-123.01

-134.08

    reinvested earnings and undistributed branch profits

11.56

-14.55

-86.72

11.01

-9.42

    interest on other investment

-62.39

-48.25

-59.45

-63.25

-74.41

Current transfers

1,220.63

1,326.92

1,516.05

1,610.00

1,711.75

  inflow, of which:

1,323.99

1,416.32

1,614.71

1,711.52

1,854.20

    personal transfers

635.21

608.47

701.37

773.79

860.96

  outflow

-103.36

-89.40

-98.66

-101.52

-142.45

CAPITAL AND FINANCIAL ACCOUNT

369.41

373.72

696.77

420.19

296.20

Capital account

-17.54

-28.36

-29.50

-33.80

-44.72

Financial account

386.95

402.08

726.27

453.99

340.92

Direct investment, of which:

201.57

204.39

267.64

155.36

203.08

    in domestic economy

208.33

207.90

288.21

175.14

231.31

          equity capital and reinvested earnings

150.00

171.53

230.62

133.54

170.89

          intercompany loans

58.33

36.37

57.59

41.60

60.42

Portfolio investment, of which:

-5.87

1.00

-0.03

21.34

9.71

  Assets*

-0.30

-4.84

-5.16

6.98

-0.36

    equity securities

-0.30

-0.47

0.13

-0.18

-0.06

    debt securities

 

-4.37

-5.29

7.16

-0.30

  Liabilities**

-5.57

5.84

5.13

14.36

10.07

    equity securities

2.39

5.84

5.07

14.36

10.07

    debt securities

-7.96

 

0.06

 

 

Financial derivatives - banks, net

0.34

-0.63

0.19

-0.24

0.11

Other investment

-9.64

491.69

736.58

775.16

411.86

  Assets*

-210.56

75.51

90.82

225.62

-109.23

     trade credits

44.86

21.24

-74.30

98.15

69.26

     loans

4.20

-7.39

1.99

-4.96

-37.79

     currency and deposits abroad

-259.62

61.66

163.13

131.88

-240.30

     other assets

 

 

 

0.55

99.60

  Liabilities**

200.92

416.18

645.76

549.54

521.09

     trade credits

60.70

99.09

200.72

31.50

57.61

     long-term loans

-10.03

286.21

313.26

440.43

139.86

       disbursed   

312.23

632.91

734.81

860.85

690.97

       reimbursed

-322.26

-346.70

-421.55

-420.42

-551.11

     short-term loans

-49.95

5.92

18.13

1.93

45.88

     non-residents' deposits in the domestic banking system

-46.64

-69.59

47.69

-5.45

226.12

     other liabilities

62.64

94.55

65.96

81.13

51.62

     SDR allocations

184.20

 

 

 

 

Reserve assets*

200.55

-294.37

-278.11

-497.63

-283.84

Errors and omissions

77.26

77.62

87.70

75.09

88.47

Note:

 

 

 

 

 

Money transfers from abroad in favor of individuals via authorized banks

1,182.02

1,244.14

1,443.47

1,494.23

1,608.98

* (-) increase, (+) decrease; for reserve assets – valued at the quarterly average exchange rate

** (+) increase, (-) decrease

Note: data for QI-III 2013 have been revised