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PCBS | The Preliminary Results of the Annual Balance of Payments for Palestine* according to the sixth edition

The Preliminary Results of the Annual Balance of Payments for Palestine* according to the sixth edition
Value in USD millions
Publish Date:26-01-2021
Click Here To Download Data as CSV File
Item20002001200220032004200520062007200820092010201120122013201420152016201720182019
CURRENT ACCOUNT (net)-856.6-827.9-485.6-1070.6-1587.9-1365.3-1233.5-418.5380.6-1143.4-1306.9-2069.5-1820.9-1996.5-1900.8-1939.2-2142.5-2130.0-2140.4-1779.9
Goods (net)-1804.8-1632.4-1286.3-1711.2-2253.9-2618.5-2666.3-2837.9-3132.1-3373.7-3454.5-3781.0-4137.9-4682.8-4851.6-4541.7-4774.8-5008.8-5401.8-5511.0
Exports (fob)569.2459.0345.9327.6370.9498.1556.7807.2811.0803.0816.51051.11133.11195.81425.51631.11682.51903.71837.81746.6
Imports (fob)2374.02091.41632.12038.82624.83116.63223.03645.23943.14176.64271.04832.15271.05878.66277.06172.86457.26912.67239.67257.5
Services (net)-205.6-447.8-469.6-290.1-286.7-232.2-280.8-379.9-348.2-436.2-442.5-142.7-291.0-51.9-197.8-859.4-889.8-958.6-1023.9-991.5
Exports315.8156.9131.9187.5225.9225.2179.6259.0354.0330.3550.8748.3738.0915.3788.2613.2524.6632.3760.2912.7
Imports521.3604.7601.5477.6512.6457.4460.3638.9702.2766.6993.3891.01029.0967.2986.01472.61414.31590.81784.21904.2
Primary Income (net)505.6318.9219.0244.6228.1348.9422.6552.6671.4525.6599.1749.5857.51160.41482.51712.51895.72129.02786.33030.9
Receipts545.7334.7227.5246.3260.1384.0431.1560.4674.6605.2714.1843.7941.41263.71618.51803.02014.22324.72983.93211.9
Of which Compensation of employees456.3193.1136.4195.6202.8261.5309.9385.4498.4487.1578.3736.6823.01140.51449.41663.91894.52131.12666.22970.3
Of which from Israel437.1171.8101.5159.2160.1213.0259.9320.3439.0417.7526.1662.8762.71079.81435.31650.61880.32084.42619.72619.7
Of which Investment income89.4141.791.050.757.3122.5121.2175.0176.2118.1135.8107.1118.4123.2169.0139.1119.8193.6317.8241.6
Payments40.215.88.51.732.035.18.57.83.279.6115.094.283.9103.4136.090.5118.6195.7197.6181.0
Secondary Income transfers (net)648.2933.51051.3686.1724.61136.41290.92246.73189.52140.91991.01104.71750.41577.91666.01749.41626.31708.51499.11691.7
Inflows746.71000.21115.5877.2848.51229.61395.92359.13312.62336.62247.11668.82331.52235.62274.02186.92102.52168.81992.82265.6
Of which to General government242.8325.3415.2662.3532.2954.61097.91597.01975.31463.41179.5709.1643.3981.1776.7681.9543.1505.4467.1628.2
Of which from donors233.6324.2414.1660.4530.5950.91093.41591.11967.11440.31144.0669.0595.4933.1724.4582.0420.3375.3277.0277.0
Of which to Other sectors503.9674.9700.3214.9316.3274.9298.1762.21337.3873.21067.6959.71688.21254.41497.31505.01559.41663.51525.81637.3
Of which from donors0.00.00.00.00.00.00.00.0908.9517.7541.268.3307.4399.9310.5249.4180.1160.8118.7118.7
Outflows98.566.764.2191.1123.993.2105.0112.4123.1195.7256.1564.1581.1657.7608.0437.5476.2460.4493.8573.9
Capital account (net)188.8215.6291.0289.1659.7386.1272.2394.8390.9713.0828.1640.0588.2487.8657.9415.8562.8624.4449.2284.4
Acquisitions/disposals of non-produced non-financial assets (net)0.40.40.40.40.40.40.40.40.40.00.00.00.00.00.0-18.9-12.60.00.00.0
Capital transfers (net)188.4215.1290.5288.7659.2385.7271.8394.3390.5713.0828.1640.0588.2487.8657.9434.8575.4624.4449.2284.4
Inflows188.4215.1290.5288.7659.2385.7271.8394.3390.5713.0828.1640.0588.2487.8657.9434.8575.4624.4449.2284.4
Of which to General government139.9158.3244.0222.5568.4238.5195.8310.1296.9595.1705.1487.9340.2218.0414.4186.8318.2349.9173.814.9
Of which from donors139.9158.2244.0222.4568.2238.4195.7310.0296.9595.1705.1487.9312.2212.4406.7178.6315.6349.9173.8173.8
Of which to Other sectors48.556.846.566.290.8147.276.084.393.5117.9123.1152.1248.0269.7243.4248.0257.2274.5275.4269.5
Outflows0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
Net lending (+) / net borrowing (-) (balance from current and capital account)-667.8-612.3-194.6-781.5-928.2-979.2-961.3-23.7771.5-430.4-478.8-1429.5-1232.7-1508.7-1242.9-1523.4-1579.7-1505.6-1691.2-1495.5
Net lending (+) / net borrowing (-) (balance from financial account)**-849.8-632.9-257.8-965.5-877.1-884.8-948.2-6.7521.5-436.2-201.5-1395.6-934.4-1779.9-1185.8-1822.8-1258.4-1499.9-1326.8-1378.3
Direct investment (net)156.1344.5336.730.5-57.9-4.1110.815.6-55.8-231.2-121.9-477.4-29.3-224.027.7-29.7-341.5-191.2-282.5-188.4
Net acquisition of financial assets (NAFA)218.1363.7346.243.4-37.432.2129.435.2-4.369.358.1-238.533.7-34.5187.575.3-45.0-7.2-71.8-56.5
Net incurrence of liabilities (NAFA)62.019.29.412.920.536.218.619.651.5300.5179.9238.863.0189.6159.7104.9296.5184.0210.7131.9
Portfolio investment (net)52.585.991.591.78.11.64.9138.1116.3180.8367.4121.116.2-149.4179.0-124.6187.4201.5-25.735.5
Net acquisition of financial assets (NAFA)64.799.899.8104.915.915.34.9138.1116.3258.3364.5120.442.0-65.8176.1-70.152.9244.5-13.412.5
Net incurrence of liabilities (NAFA)12.213.98.213.27.813.70.00.00.077.5-2.9-0.725.883.6-2.954.5-134.543.012.3-23.0
Financial derivatives (other than reserves) and employee stock options (net)0.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.00.0
Other investment (net)-966.4-1083.9-670.3-1022.0-821.4-889.7-1084.0-120.0613.9-374.8-483.4-1005.5-1087.3-1390.2-1379.7-1577.0-836.1-1643.7-1109.8-1346.0
Net acquisition of financial assets (NAFA)-908.2-1087.8-708.4-1099.6-750.7-777.5-1085.5-139.1622.0-192.4-641.6-736.7-1021.5-1067.8-1206.2-1466.4-875.8-1546.4-1303.7-864.3
Of which Currency and deposits***-791.9-955.4-496.2-922.6-653.0-809.5-1075.5-119.9505.1-211.0-630.5-686.7-1153.8-1013.0-1193.1-1575.3-943.2-1564.6-1303.3-846.2
Net incurrence of liabilities (NAFA)58.2-3.9-38.1-77.670.7112.1-1.5-19.18.1182.4-158.2268.865.8322.4173.5110.7-39.797.3-193.8481.7
Of which Loans120.542.443.326.855.351.511.09.48.0-3.0-41.671.2-46.319.0-27.4-26.3-29.4-2.0-26.3187.0
Of which Currency and deposits****-61.0-40.9-80.4-104.515.560.7-12.5-28.60.2185.4-109.8130.784.8103.3101.0126.2-33.7107.0-186.0288.5
Change in Reserve Assets (- = increase/ + = decrease)-92.020.6-15.8-65.8-5.97.420.1-40.3-152.9-11.136.4-33.7166.0-16.2-12.9-91.5-268.2133.591.3120.5
Of which Currency and deposits-92.020.6-15.8-65.8-5.97.420.1-40.3-152.9-11.136.4-33.7166.021.2-12.9-91.5-268.2133.591.3120.5
Exceptional financing 0.00.00.00.00.00.00.00.00.00.00.00.028.05.67.68.22.50.00.00.0
Errors and omissions (net)*****182.120.663.2184.0-51.1-94.4-13.1-17.0250.05.8-277.3-33.9-298.2-271.157.2-299.4321.35.7364.5117.2

*The data excludes those parts of Jerusalem which were annexed by Israel occupation in 1967.
** Includes Reserve Assets.
*** Currency and deposits: Including the cash of foreign currency in the banks and the deposits of the Palestinian institutions deposited abroad.
**** Currency and deposits : Includes the deposits of non-residents deposited in Local banks.
***** Errors and omissions (net): Includes the different between current account (net) one hand, and capital and financial account (net) on the other hand.
Notes:
• PCPS and PMA have revised and updated the current account of balance of payments time series data for the period 2013-2017, based on the national accounts updates for the same period, to ensure consistency between the balance of payments and the national accounts data
The data of Financial account will be updated according to the recomdations of IMF technical mission due to this topic.
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