| 1. Foreign currency loans, securities, and deposits6 |
|
| Total |
-7708.00 |
| Up to 1 month |
-344.00 |
| More than 1 and up to 3 months |
-1427.00 |
| More than 3 months and up to 1 year |
-5937.00 |
| outflows (-) |
|
| Principal |
|
| Total |
-5741.00 |
| Up to 1 month |
-255.00 |
| More than 1 and up to 3 months |
-993.00 |
| More than 3 months and up to 1 year |
-4493.00 |
| Interest |
|
| Total |
-1967.00 |
| Up to 1 month |
-89.00 |
| More than 1 and up to 3 months |
-434.00 |
| More than 3 months and up to 1 year |
-1444.00 |
| inflows (+) |
|
| Principal |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| Interest |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| 2. Aggregate short and long positions in forwards and futures in foreign currencies vis-à-vis the domestic currency (including the forward leg of currency swaps)7 |
|
| (a) Short positions (-) |
|
| Total |
-4943.00 |
| Up to 1 month |
-3697.00 |
| More than 1 and up to 3 months |
0.00 |
| More than 3 months and up to 1 year |
-1246.00 |
| (b) Long positions (+) |
|
| Total |
21537.00 |
| Up to 1 month |
3056.00 |
| More than 1 and up to 3 months |
5118.00 |
| More than 3 months and up to 1 year |
13363.00 |
| 3. Other (specify) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| outflows related to repos (-) |
|
| Total |
-9001.15 |
| Up to 1 month |
-4201.39 |
| More than 1 and up to 3 months |
-4799.76 |
| More than 3 months and up to 1 year |
|
| inflows related to reverse repos (+) |
|
| Total |
9001.15 |
| Up to 1 month |
4201.39 |
| More than 1 and up to 3 months |
4799.76 |
| More than 3 months and up to 1 year |
|
| trade credit (-) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| trade credit (+) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| other accounts payable (-) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| other accounts receivable (+) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| 1. Contingent liabilities in foreign currency |
|
| Total |
1066.00 |
| Up to 1 month |
69.00 |
| More than 1 and up to 3 months |
103.00 |
| More than 3 months and up to 1 year |
894.00 |
| (a) Collateral guarantees on debt falling due within 1 year |
|
| Total |
1066.00 |
| Up to 1 month |
69.00 |
| More than 1 and up to 3 months |
103.00 |
| More than 3 months and up to 1 year |
894.00 |
| (b) Other contingent liabilities |
|
| Total |
0.00 |
| Up to 1 month |
0.00 |
| More than 1 and up to 3 months |
0.00 |
| More than 3 months and up to 1 year |
0.00 |
| 2. Foreign currency securities issued with embedded options (puttable bonds)8 |
|
| Total |
|
| 3. Undrawn, unconditional credit lines9 provided by: |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (a) other national monetary authorities, BIS, IMF, and other international organizations |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| other national monetary authorities (+) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| BIS (+) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| IMF (+) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| Other International Organizations (+) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) with banks and other financial institutions headquartered in the reporting country (+) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (c) with banks and other financial institutions headquartered outside the reporting country (+) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| 4. Undrawn, unconditional credit lines provided to: |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (a) other national monetary authorities, BIS, IMF, and other international organizations |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| other national monetary authorities (-) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| BIS (-) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| IMF (-) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| Other International Organizations (-) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) banks and other financial institutions headquartered in reporting country (-) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (c) banks and other financial institutions headquartered outside the reporting country (-) |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| 5. Aggregate short and long positions of options in foreign currencies vis-à-vis the domestic currency10 |
|
| (a) Short positions |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (i) Bought puts |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (ii) Written calls |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) Long positions |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (i) Bought calls |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (ii) Written puts |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| PRO MEMORIA: In-the-money options11 |
|
| (1) At current exchange rate |
|
| (a) Short position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) Long position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (2) + 5 % (depreciation of 5%) |
|
| (a) Short position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) Long position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (3) - 5 % (appreciation of 5%) |
|
| (a) Short position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) Long position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (4) +10 % (depreciation of 10%) |
|
| (a) Short position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) Long position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (5) - 10 % (appreciation of 10%) |
|
| (a) Short position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) Long position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (6) Other (specify) |
|
| (a) Short position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (b) Long position |
|
| Total |
|
| Up to 1 month |
|
| More than 1 and up to 3 months |
|
| More than 3 months and up to 1 year |
|
| (1) To be reported with standard periodicity and timeliness:12 |
|
| (a) short-term domestic currency debt indexed to the exchange rate |
|
| (b) financial instruments denominated in foreign currency and settled by other means (e.g., in domestic currency)13 |
0.00 |
| nondeliverable forwards |
0.00 |
| short positions |
0.00 |
| long positions |
0.00 |
| other instruments |
0.00 |
| (c) pledged assets14 |
|
| included in reserve assets |
|
| included in other foreign currency assets |
|
| (d) securities lent and on repo15 |
|
| lent or repoed and included in Section I |
9003.23 |
| lent or repoed but not included in Section I |
|
| borrowed or acquired and included in Section I |
|
| borrowed or acquired but not included in Section I |
9117.93 |
| (e) financial derivative assets (net, marked to market)16 |
|
| forwards |
|
| futures |
|
| swaps |
|
| options |
|
| other |
|
| (f) derivatives (forward, futures, or options contracts) that have a residual maturity greater than one year, which are subject to margin calls. |
5135.00 |
| Aggregate short and long positions in forwards and futures in foreign currencies vis-à-vis the domestic currency (including the forward leg of currency swaps) |
|
| (a) short positions (–) |
0.00 |
| (b) long positions (+) |
5135.00 |
| Aggregate short and long positions of options in foreign currencies vis-à-vis the domestic currency |
|
| (a) short positions |
|
| (i) bought puts |
|
| (ii) written calls |
|
| (b) long positions |
|
| (i) bought calls |
|
| (ii) written puts |
|
| (2) To be disclosed less frequently: |
|
| (a) currency composition of reserves (by groups of currencies) |
|
| currencies in SDR basket |
|
| Currency Composition of Reserves, Denominated in US Dollars |
|
| Currency Composition of Reserves, Denominated in Euros |
|
| Currency Composition of Reserves, Denominated in Chinese Yuan |
|
| Currency Composition of Reserves, Denominated in Japanese Yen |
|
| Currency Composition of Reserves, Denominated in UK Pound Sterling |
|
| currencies not in SDR basket |
|