United States - Portfolio investment

Portfolio Investment, net (BoP, current US$)

The latest value for Portfolio Investment, net (BoP, current US$) in United States was ($490,127,000,000) as of 2020. Over the past 50 years, the value for this indicator has fluctuated between $35,247,000,000 in 1993 and ($807,954,000,000) in 2008.

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
1970 ($1,170,000,000)
1971 ($8,830,000,000)
1972 ($13,450,000,000)
1973 ($4,150,000,000)
1974 $110,000,000
1975 ($4,900,000,000)
1976 ($3,970,000,000)
1977 ($24,040,000,000)
1978 ($7,100,000,000)
1979 ($670,000,000)
1980 ($10,580,000,000)
1981 ($15,450,000,000)
1982 ($9,510,000,000)
1983 ($1,745,000,000)
1984 ($24,960,000,000)
1985 ($68,540,000,000)
1986 ($81,506,000,000)
1987 ($61,675,000,000)
1988 ($65,873,000,000)
1989 ($73,643,000,000)
1990 $6,761,000,000
1991 ($11,863,000,000)
1992 ($22,810,000,000)
1993 $35,247,000,000
1994 ($76,220,000,000)
1995 ($87,957,800,000)
1996 ($183,465,000,000)
1997 ($216,258,000,000)
1998 ($57,361,000,000)
1999 ($137,690,000,000)
2000 ($282,253,000,000)
2001 ($324,573,000,000)
2002 ($424,623,000,000)
2003 ($417,105,000,000)
2004 ($675,384,000,000)
2005 ($564,748,000,000)
2006 ($633,367,000,000)
2007 ($775,806,000,000)
2008 ($807,954,000,000)
2009 $18,530,000,000
2010 ($620,815,000,000)
2011 ($226,262,000,000)
2012 ($498,258,000,000)
2013 ($30,689,000,000)
2014 ($114,932,000,000)
2015 ($53,499,000,000)
2016 ($194,982,000,000)
2017 ($221,435,000,000)
2018 $32,186,000,000
2019 ($190,638,000,000)
2020 ($490,127,000,000)

Classification

Topic: Economic Policy & Debt Indicators

Sub-Topic: Balance of payments