Malaysia - Portfolio investment

Portfolio Investment, net (BoP, current US$)

The latest value for Portfolio Investment, net (BoP, current US$) in Malaysia was ($4,580,792,000) as of 2021. Over the past 47 years, the value for this indicator has fluctuated between $23,960,720,000 in 2008 and ($20,680,450,000) in 2012.

Definition: Portfolio investment covers transactions in equity securities and debt securities. Data are in current U.S. dollars.

Source: International Monetary Fund, Balance of Payments Statistics Yearbook and data files.

See also:

Year Value
1974 ($12,463,300)
1975 ($268,194,700)
1976 ($51,542,840)
1977 ($62,568,980)
1978 ($79,014,120)
1979 ($194,202,100)
1980 $11,024,940
1981 ($1,131,015,000)
1982 ($600,755,800)
1983 ($667,743,700)
1984 ($1,107,678,000)
1985 ($1,941,570,000)
1986 ($29,828,290)
1987 ($139,702,600)
1988 $447,917,900
1989 $107,056,800
1990 $254,725,300
1991 ($170,177,700)
1992 $1,122,328,000
1993 $708,598,500
1994 $1,649,229,000
1995 $435,632,600
1996 $268,289,100
1997 $247,761,300
1998 ($283,102,400)
1999 $1,024,474,000
2000 $2,532,105,000
2001 $411,842,100
2002 $1,398,947,000
2003 ($978,157,900)
2004 ($8,388,684,000)
2005 $3,700,304,000
2006 ($3,435,892,000)
2007 ($5,388,143,000)
2008 $23,960,720,000
2009 $291,400,400
2010 ($14,993,960,000)
2011 ($8,678,199,000)
2012 ($20,680,450,000)
2013 $813,576,400
2014 $11,883,330,000
2015 $7,226,139,000
2016 $3,331,961,000
2017 $3,298,703,000
2018 $12,431,150,000
2019 $7,757,677,000
2020 $11,701,100,000
2021 ($4,580,792,000)

Classification

Topic: Economic Policy & Debt Indicators

Sub-Topic: Balance of payments