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见附件。 各种货币对美元折算率(2025年10月31日) 2025-11-07/beijing/2025/1106/2655.html
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日前,国家外汇管理局公布了2025年6月末中国外债数据。国家外汇管理局副局长、新闻发言人李斌就相关问题回答了记者提问。 问:您如何评价2025年二季度我国外债情况? 答:2025年二季度,我国外债形势平稳。一是外债规模基本稳定。截至2025年6月末,我国全口径(含本外币)外债余额为24368亿美元,较2025年3月末微降0.6%。二是外债结构边际改善。从币种结构看,本币外债占比52.1%,与2025年3月末持平;从期限结构看,中长期外债占比42.4%,较2025年3月末上升0.2个百分点。总的来看,我国外债规模及币种结构保持基本稳定,期限结构有所优化。 2025-10-27/shanghai/2025/1027/2342.html
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国家外汇管理局统计数据显示,2025年9月,中国外汇市场(不含外币对市场,下同)总计成交26.87万亿元人民币(等值3.78万亿美元)。其中,银行对客户市场成交4.43万亿元人民币(等值0.62万亿美元),银行间市场成交22.44万亿元人民币(等值3.16万亿美元);即期市场累计成交9.87万亿元人民币(等值1.39万亿美元),衍生品市场累计成交17.00万亿元人民币(等值2.39万亿美元)。 2025年1-9月,中国外汇市场累计成交230.10万亿元人民币(等值32.11万亿美元)。 2025-11-07/beijing/2025/1106/2656.html
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中国人民银行甘肃省分行党委委员、副行长 国家外汇管理局甘肃省分局副局长 2025-04-30/gansu/2025/0430/2149.html
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国家外汇管理局统计数据显示,截至2025年10月末,我国外汇储备规模为33433亿美元,较9月末上升47亿美元,升幅为0.14%。 2025年10月,受主要经济体货币政策及预期、宏观经济数据等因素影响,美元指数上涨,全球金融资产价格总体上涨。汇率折算和资产价格变化等因素综合作用,当月外汇储备规模上升。我国经济基础稳、优势多、韧性强、潜能大,长期向好的支撑条件和基本趋势没有变,有利于外汇储备规模保持基本稳定。 2025-11-07/safe/2025/1107/26792.html
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中国人民银行甘肃省分行党委书记、行长 国家外汇管理局甘肃省分局局长 2022-06-06/gansu/2017/0731/260.html
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2025年三季度,我国经常账户顺差13948亿元,其中,货物贸易顺差19213亿元,服务贸易逆差3520亿元,初次收入逆差2324亿元,二次收入顺差579亿元。资本和金融账户(含当季净误差与遗漏)逆差13948亿元,其中来华直接投资保持净流入。 2025年前三季度,我国经常账户顺差35074亿元,其中,货物贸易顺差52015亿元,服务贸易逆差11166亿元,初次收入逆差6844亿元,二次收入顺差1069亿元。资本和金融账户中(含三季度净误差与遗漏)逆差33885亿元。 按美元计值,2025年三季度,我国经常账户顺差1956亿美元,其中,货物贸易顺差2695亿美元,服务贸易逆差494亿美元,初次收入逆差326亿美元,二次收入顺差81亿美元。资本和金融账户(含当季净误差与遗漏)逆差1956亿美元。 按美元计值,2025年前三季度,我国经常账户顺差4898亿美元,其中,货物贸易顺差7262亿美元,服务贸易逆差1558亿美元,初次收入逆差955亿美元,二次收入顺差149亿美元。资本和金融账户(含三季度净误差与遗漏)逆差4733亿美元。 按SDR计值,2025年三季度,我国经常账户顺差1429亿SDR,其中,货物贸易顺差1969亿SDR,服务贸易逆差361亿SDR,初次收入逆差238亿SDR,二次收入顺差59亿SDR。资本和金融账户(含当季净误差与遗漏)逆差1429亿SDR。 按SDR计值,2025年前三季度,我国经常账户顺差3639亿SDR,其中,货物贸易顺差5394亿SDR,服务贸易逆差1161亿SDR,初次收入逆差705亿SDR,二次收入顺差110亿SDR。资本和金融账户(含三季度净误差与遗漏)逆差3506亿SDR。(完) 2025年三季度中国国际收支平衡表(初步数) 项 目 行次 亿元 亿美元 亿SDR 1. 经常账户 1 13948 1956 1429 贷方 2 82444 11565 8449 借方 3 -68496 -9609 -7020 1.A 货物和服务 4 15693 2201 1608 贷方 5 74819 10496 7668 借方 6 -59126 -8295 -6060 1.A.a 货物 7 19213 2695 1969 贷方 8 66934 9390 6860 借方 9 -47721 -6695 -4891 1.A.b 服务 10 -3520 -494 -361 贷方 11 7885 1106 808 借方 12 -11405 -1600 -1169 1.A.b.1 加工服务 13 200 28 20 贷方 14 254 36 26 借方 15 -55 -8 -6 1.A.b.2 维护和维修服务 16 124 17 13 贷方 17 277 39 28 借方 18 -153 -21 -16 1.A.b.3 运输 19 -930 -131 -95 贷方 20 2259 317 231 借方 21 -3189 -447 -327 1.A.b.4 旅行 22 -3589 -503 -368 贷方 23 989 139 101 借方 24 -4578 -642 -469 1.A.b.5 建设 25 156 22 16 贷方 26 343 48 35 借方 27 -187 -26 -19 1.A.b.6 保险和养老金服务 28 -206 -29 -21 贷方 29 43 6 4 借方 30 -249 -35 -26 1.A.b.7 金融服务 31 -4 -1 0 贷方 32 61 9 6 借方 33 -65 -9 -7 1.A.b.8 知识产权使用费 34 -558 -78 -57 贷方 35 328 46 34 借方 36 -886 -124 -91 1.A.b.9 电信、计算机和信息服务 37 542 76 56 贷方 38 1265 177 130 借方 39 -723 -101 -74 1.A.b.10 其他商业服务 40 855 120 88 贷方 41 2008 282 206 借方 42 -1154 -162 -118 1.A.b.11 个人、文化和娱乐服务 43 -65 -9 -7 贷方 44 32 4 3 借方 45 -97 -14 -10 1.A.b.12 别处未提及的政府服务 46 -43 -6 -4 贷方 47 26 4 3 借方 48 -69 -10 -7 1.B 初次收入 49 -2324 -326 -238 贷方 50 6625 929 679 借方 51 -8949 -1256 -917 1.C 二次收入 52 579 81 59 贷方 53 1000 140 103 借方 54 -421 -59 -43 2. 资本和金融账户(含当季净误差与遗漏) 55 -13948 -1956 -1429 2.1 资本账户 56 7 1 1 贷方 57 9 1 1 借方 58 -2 0 0 2.2 金融账户(含当季净误差与遗漏) 59 -13955 -1957 -1430 2.2.1 非储备性质的金融账户(含当季净误差与遗漏) 60 -14795 -2075 -1516 其中:2.2.1.1 直接投资 61 -2242 -314 -230 2.2.1.1.1直接投资资产 62 -2842 -399 -291 2.2.1.1.1.1 股权 63 -2867 -402 -294 2.2.1.1.1.2 关联企业债务 64 25 3 2 2.2.1.1.2直接投资负债 65 600 85 62 2.2.1.1.2.1 股权 66 991 140 102 2.2.1.1.2.2 关联企业债务 67 -390 -55 -40 2.2.2 储备资产 68 839 118 86 2.2.2.1 货币黄金 69 0 0 0 2.2.2.2 特别提款权 70 -13 -2 -1 2.2.2.3 在国际货币基金组织的储备头寸 71 4 1 0 2.2.2.4 外汇储备 72 848 119 87 2.2.2.5 其他储备 73 0 0 0 3. 净误差与遗漏 74 / / / 注:1.根据《国际收支和国际投资头寸手册》(第六版)编制。 2.“贷方”按正值列示,“借方”按负值列示,差额等于“贷方”加上“借方”。本表除标注“贷方”和“借方”的项目外,其他项目均指差额。 3.季度人民币计值的国际收支平衡表的折算方法为,当季以美元计值的国际收支平衡表,通过当季人民币对美元平均汇率中间价折算。季度SDR计值的国际收支平衡表数据,由当季以美元计值的国际收支平衡表,通过当季SDR对美元平均汇率折算得到。 4.资本和金融账户因含净误差与遗漏,与经常账户差额金额相等,符号相反。 5.初步统计,2025年三季度,我国直接投资负债中资本金新增209亿美元(折约1490亿元人民币)。 6.本表计数采用四舍五入原则。 2025年前三季度中国国际收支平衡表(初步数) 项 目 行次 亿元 亿美元 亿SDR 1. 经常账户 1 35074 4898 3639 贷方 2 231370 32296 23983 借方 3 -196296 -27399 -20345 1.A 货物和服务 4 40849 5704 4234 贷方 5 211241 29486 21900 借方 6 -170391 -23782 -17666 1.A.a 货物 7 52015 7262 5394 贷方 8 188893 26366 19582 借方 9 -136878 -19105 -14188 1.A.b 服务 10 -11166 -1558 -1161 贷方 11 22347 3119 2318 借方 12 -33513 -4677 -3478 1.A.b.1 加工服务 13 561 78 58 贷方 14 689 96 71 借方 15 -128 -18 -13 1.A.b.2 维护和维修服务 16 315 44 33 贷方 17 738 103 76 借方 18 -422 -59 -44 1.A.b.3 运输 19 -2641 -369 -274 贷方 20 6443 899 668 借方 21 -9085 -1268 -942 1.A.b.4 旅行 22 -10908 -1522 -1135 贷方 23 2738 382 284 借方 24 -13646 -1905 -1418 1.A.b.5 建设 25 370 52 38 贷方 26 882 123 91 借方 27 -512 -71 -53 1.A.b.6 保险和养老金服务 28 -756 -106 -78 贷方 29 155 22 16 借方 30 -911 -127 -95 1.A.b.7 金融服务 31 11 2 1 贷方 32 222 31 23 借方 33 -211 -29 -22 1.A.b.8 知识产权使用费 34 -1872 -261 -194 贷方 35 673 94 70 借方 36 -2545 -355 -264 1.A.b.9 电信、计算机和信息服务 37 1452 203 150 贷方 38 3700 516 384 借方 39 -2247 -314 -233 1.A.b.10 其他商业服务 40 2537 354 264 贷方 41 5916 826 614 借方 42 -3378 -472 -350 1.A.b.11 个人、文化和娱乐服务 43 -151 -21 -16 贷方 44 113 16 12 借方 45 -264 -37 -27 1.A.b.12 别处未提及的政府服务 46 -83 -12 -9 贷方 47 79 11 8 借方 48 -162 -23 -17 1.B 初次收入 49 -6844 -955 -705 贷方 50 17794 2484 1842 借方 51 -24639 -3440 -2547 1.C 二次收入 52 1069 149 110 贷方 53 2335 326 242 借方 54 -1266 -177 -131 2. 资本和金融账户(含三季度净误差与遗漏) 55 -33885 -4733 -3506 2.1 资本账户 56 -3 0 0 贷方 57 12 2 1 借方 58 -15 -2 -2 2.2 金融账户(含三季度净误差与遗漏) 59 -33881 -4732 -3505 2.2.1 非储备性质的金融账户(含三季度净误差与遗漏) 60 -37642 -5257 -3900 其中:2.2.1.1 直接投资 61 -5589 -780 -583 2.2.1.1.1直接投资资产 62 -8479 -1184 -882 2.2.1.1.1.1 股权 63 -7192 -1004 -746 2.2.1.1.1.2 关联企业债务 64 -1287 -179 -137 2.2.1.1.2直接投资负债 65 2889 404 299 2.2.1.1.2.1 股权 66 3812 532 396 2.2.1.1.2.2 关联企业债务 67 -922 -129 -97 2.2.2 储备资产 68 3761 524 395 2.2.2.1 货币黄金 69 0 0 0 2.2.2.2 特别提款权 70 -246 -34 -26 2.2.2.3 在国际货币基金组织的储备头寸 71 -106 -15 -11 2.2.2.4 外汇储备 72 4113 573 431 2.2.2.5 其他储备 73 0 0 0 3. 净误差与遗漏 74 -1189 -165 -133 注:1.根据《国际收支和国际投资头寸手册》(第六版)编制。 2.“贷方”按正值列示,“借方”按负值列示,差额等于“贷方”加上“借方”。本表除标注“贷方”和“借方”的项目外,其他项目均指差额。 3.季度人民币计值的国际收支平衡表的折算方法为,当季以美元计值的国际收支平衡表,通过当季人民币对美元平均汇率中间价折算。季度SDR计值的国际收支平衡表数据,由当季以美元计值的国际收支平衡表,通过当季SDR对美元平均汇率折算得到。 4.2025年前三季度初步数为一、二季度平衡表正式数与三季度平衡表初步数累加得到。其中,2025年三季度初步数的资本和金融账户因含净误差与遗漏,与经常账户差额金额相等,符号相反。三季度初步数的金融账户、非储备性质的金融账户同样含净误差与遗漏。2025年一、二季度正式数的资本和金融账户、金融账户和非储备性质的金融账户均不含净误差与遗漏,净误差与遗漏项目单独列示。 5.初步统计,2025年前三季度,我国直接投资负债中资本金新增601亿美元(折约4304亿元人民币)。 6.本表计数采用四舍五入原则。 2025-11-07/safe/2025/1107/26795.html
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In the third quarter of 2025, China's current account registered a surplus of RMB 1394.8 billion, including a surplus of RMB 1921.3 billion under trade in goods, a deficit of RMB 352.0 billion under trade in services, a deficit of RMB 232.4 billion under primary income and a surplus of RMB 57.9 billion under secondary income. The capital and financial accounts (including net errors and omissions for the quarter) recorded a deficit of RMB 1394.8 billion. Inward foreign direct investments (FDI) continued the net inflow. In the first three quarters of 2025, China's current account registered a surplus of RMB 3507.4 billion, including a surplus of RMB 5201.5 billion under trade in goods, a deficit of RMB 1116.6 billion under trade in services, a deficit of RMB 684.4 billion under primary income, and a surplus of RMB 106.9 billion under secondary income. The capital and financial accounts (including net errors and omissions for the third quarter) recorded a deficit of RMB 3388.5 billion. In the US dollar terms, in the third quarter of 2025, China's current account registered a surplus of USD 195.6 billion, including a surplus of USD 269.5 billion under trade in goods, a deficit of USD 49.4 billion under trade in services, a deficit of USD 32.6 billion under primary income and a surplus of USD 8.1 billion under secondary income. The capital and financial accounts (including net errors and omissions for the quarter) recorded a deficit of USD 195.6 billion. In the US dollar terms, in the first three quarters of 2025, China's current account recorded a surplus of USD 489.8 billion, including a surplus of USD 726.2 billion under trade in goods, a deficit of USD 155.8 billion under trade in services, a deficit of USD 95.5 billion under primary income, and a surplus of USD 14.9 billion under secondary income. The capital and financial accounts (including net errors and omissions for the third quarter) recorded a deficit of USD 473.3 billion. In SDR terms, in the third quarter of 2025, China's current account registered a surplus of SDR 142.9 billion, including a surplus of SDR 196.9 billion under trade in goods, a deficit of SDR 36.1 billion under trade in services, a deficit of SDR 23.8 billion under primary income and a surplus of SDR 5.9 billion under secondary income. The capital and financial accounts (including net errors and omissions for the quarter) recorded a deficit of SDR 142.9 billion. In SDR terms, in the first three quarters of 2025, China posted a surplus of SDR 363.9 billion under the current account, including a surplus of SDR 539.4 billion under trade in goods, a deficit of SDR 116.1 billion under trade in services, a deficit of SDR 70.5 billion under primary income and a surplus of SDR 11.0 billion under secondary income. The capital and financial accounts (including net errors and omissions for the third quarter) recorded a deficit of SDR 350.6 billion.(End) China's Balance of Payments, Q3 2025 (Preliminary Data) Item Line No. RMB 100 million USD 100 million SDR 100 million 1. Current account 1 13948 1956 1429 Credit 2 82444 11565 8449 Debit 3 -68496 -9609 -7020 1. A Goods and Services 4 15693 2201 1608 Credit 5 74819 10496 7668 Debit 6 -59126 -8295 -6060 1.A.a Goods 7 19213 2695 1969 Credit 8 66934 9390 6860 Debit 9 -47721 -6695 -4891 1.A.b Services 10 -3520 -494 -361 Credit 11 7885 1106 808 Debit 12 -11405 -1600 -1169 1.A.b.1 Processing services 13 200 28 20 Credit 14 254 36 26 Debit 15 -55 -8 -6 1.A.b.2 Maintenance and Repair Services 16 124 17 13 Credit 17 277 39 28 Debit 18 -153 -21 -16 1.A.b.3 Transport 19 -930 -131 -95 Credit 20 2259 317 231 Debit 21 -3189 -447 -327 1.A.b.4 Travel 22 -3589 -503 -368 Credit 23 989 139 101 Debit 24 -4578 -642 -469 1.A.b.5 Construction 25 156 22 16 Credit 26 343 48 35 Debit 27 -187 -26 -19 1.A.b.6 Insurance and Pension Services 28 -206 -29 -21 Credit 29 43 6 4 Debit 30 -249 -35 -26 1.A.b.7 Financial Services 31 -4 -1 0 Credit 32 61 9 6 Debit 33 -65 -9 -7 1.A.b.8 Charges for the Use of Intellectual Property 34 -558 -78 -57 Credit 35 328 46 34 Debit 36 -886 -124 -91 1.A.b.9 Telecommunications, Computer, and Information Services 37 542 76 56 Credit 38 1265 177 130 Debit 39 -723 -101 -74 1.A.b.10 Other Business Services 40 855 120 88 Credit 41 2008 282 206 Debit 42 -1154 -162 -118 1.A.b.11 Personal, Cultural, and Recreational Services 43 -65 -9 -7 Credit 44 32 4 3 Debit 45 -97 -14 -10 1.A.b.12 Government Goods and Services n.i.e 46 -43 -6 -4 Credit 47 26 4 3 Debit 48 -69 -10 -7 1.B Primary Income 49 -2324 -326 -238 Credit 50 6625 929 679 Debit 51 -8949 -1256 -917 1.C Secondary Income 52 579 81 59 Credit 53 1000 140 103 Debit 54 -421 -59 -43 2. Capital and Financial Accounts (Including Net Errors and Omissions for the Quarter) 55 -13948 -1956 -1429 2.1 Capital Account 56 7 1 1 Credit 57 9 1 1 Debit 58 -2 0 0 2.2. Financial Account (Including Net Errors and Omissions for the Quarter) 59 -13955 -1957 -1430 2.2.1 Financial Account (Excluding Reserve Assets, But Including Net Errors and Omissions for the Quarter) 60 -14795 -2075 -1516 Including: 2.2.1.1 Direct Investment 61 -2242 -314 -230 2.2.1.1.1 Assets 62 -2842 -399 -291 2.2.1.1.1.1 Equity and investment fund shares 63 -2867 -402 -294 2.2.1.1.1.2 Debt instruments 64 25 3 2 2.2.1.1.2 Liabilities 65 600 85 62 2.2.1.1.2.1 Equity and investment fund shares 66 991 140 102 2.2.1.1.2.2 Debt instruments 67 -390 -55 -40 2.2.2 Reserve Assets 68 839 118 86 2.2.2.1 Monetary gold 69 0 0 0 2.2.2.2 Special drawing rights 70 -13 -2 -1 2.2.2.3 Reserve position in the IMF 71 4 1 0 2.2.2.4 Foreign exchange reserves 72 848 119 87 2.2.2.5 Other reserves 73 0 0 0 3. Net Errors and Omissions 74 / / / Note:1. The table is compiled according to BPM6. 2."Credit" is presented as positive value while "debit" as negative value, and the balance is the sum of the "Credit" and the "Debit". All items herein refer to balances, unless marked with "Credit" or "Debit". 3.The RMB denominated BOP statement is converted from the USD denominated BOP statement for the quarter using the period average central parity rate of RMB against USD. The SDR denominated quarterly BOP statement is converted from the USD denominated BOP statement for the quarter using the period average exchange rate of SDR against USD. 4.Since net errors and omissions are included, the amount of the capital and financial accounts is the opposite number of the difference in the current account. 5.According to preliminary statistics, in the third quarter of 2025, the equity other than reinvestment of earnings under direct investment liabilities (credit) was USD 20.9 billion (RMB 149.0 billion). 6.This table employs rounded-off numbers. China's Balance of Payments, First Three Quarters of 2025 (Preliminary Data) Item Line No. RMB 100 million USD 100 million SDR 100 million 1. Current account 1 35074 4898 3639 Credit 2 231370 32296 23983 Debit 3 -196296 -27399 -20345 1. A Goods and Services 4 40849 5704 4234 Credit 5 211241 29486 21900 Debit 6 -170391 -23782 -17666 1.A.a Goods 7 52015 7262 5394 Credit 8 188893 26366 19582 Debit 9 -136878 -19105 -14188 1.A.b Services 10 -11166 -1558 -1161 Credit 11 22347 3119 2318 Debit 12 -33513 -4677 -3478 1.A.b.1 Processing services 13 561 78 58 Credit 14 689 96 71 Debit 15 -128 -18 -13 1.A.b.2 Maintenance and Repair Services 16 315 44 33 Credit 17 738 103 76 Debit 18 -422 -59 -44 1.A.b.3 Transport 19 -2641 -369 -274 Credit 20 6443 899 668 Debit 21 -9085 -1268 -942 1.A.b.4 Travel 22 -10908 -1522 -1135 Credit 23 2738 382 284 Debit 24 -13646 -1905 -1418 1.A.b.5 Construction 25 370 52 38 Credit 26 882 123 91 Debit 27 -512 -71 -53 1.A.b.6 Insurance and Pension Services 28 -756 -106 -78 Credit 29 155 22 16 Debit 30 -911 -127 -95 1.A.b.7 Financial Services 31 11 2 1 Credit 32 222 31 23 Debit 33 -211 -29 -22 1.A.b.8 Charges for the Use of Intellectual Property 34 -1872 -261 -194 Credit 35 673 94 70 Debit 36 -2545 -355 -264 1.A.b.9 Telecommunications, Computer, and Information Services 37 1452 203 150 Credit 38 3700 516 384 Debit 39 -2247 -314 -233 1.A.b.10 Other Business Services 40 2537 354 264 Credit 41 5916 826 614 Debit 42 -3378 -472 -350 1.A.b.11 Personal, Cultural, and Recreational Services 43 -151 -21 -16 Credit 44 113 16 12 Debit 45 -264 -37 -27 1.A.b.12 Government Goods and Services n.i.e 46 -83 -12 -9 Credit 47 79 11 8 Debit 48 -162 -23 -17 1.B Primary Income 49 -6844 -955 -705 Credit 50 17794 2484 1842 Debit 51 -24639 -3440 -2547 1.C Secondary Income 52 1069 149 110 Credit 53 2335 326 242 Debit 54 -1266 -177 -131 2. Capital and Financial Accounts (Including Net Errors and Omissions for the Third Quarter) 55 -33885 -4733 -3506 2.1 Capital Account 56 -3 0 0 Credit 57 12 2 1 Debit 58 -15 -2 -2 2.2. Financial Account (Including Net Errors and Omissions for the Third Quarter) 59 -33881 -4732 -3505 2.2.1 Financial Account (Excluding Reserve Assets, But Including Net Errors and Omissions for the Third Quarter) 60 -37642 -5257 -3900 Including: 2.2.1.1 Direct Investment 61 -5589 -780 -583 2.2.1.1.1 Assets 62 -8479 -1184 -882 2.2.1.1.1.1 Equity and investment fund shares 63 -7192 -1004 -746 2.2.1.1.1.2 Debt instruments 64 -1287 -179 -137 2.2.1.1.2 Liabilities 65 2889 404 299 2.2.1.1.2.1 Equity and investment fund shares 66 3812 532 396 2.2.1.1.2.2 Debt instruments 67 -922 -129 -97 2.2.2 Reserve Assets 68 3761 524 395 2.2.2.1 Monetary gold 69 0 0 0 2.2.2.2 Special drawing rights 70 -246 -34 -26 2.2.2.3 Reserve position in the IMF 71 -106 -15 -11 2.2.2.4 Foreign exchange reserves 72 4113 573 431 2.2.2.5 Other reserves 73 0 0 0 3. Net Errors and Omissions 74 -1189 -165 -133 Note:1. The table is compiled according to BPM6. 2."Credit" is presented as positive value while "debit" as negative value, and the balance is the sum of the "Credit" and the "Debit". All items herein refer to balances, unless marked with "Credit" or "Debit". 3.The RMB denominated BOP statement is converted from the USD denominated BOP statement for the quarter using the period average central parity rate of RMB against USD. The SDR denominated quarterly BOP statement is converted from the USD denominated BOP statement for the quarter using the period average exchange rate of SDR against USD. 4.The preliminary amount for the first three quarters of 2025 is the sum of the official amounts of the BOP for 2025Q1, 2025Q2 and the preliminary amount for 2025Q3. 5.According to preliminary statistics, in the first three quarters of 2025, the equity other than reinvestment of earnings under direct investment liabilities (credit) was USD 60.1 billion (RMB 430.4 billion). 6.This table employs rounded-off numbers. 2025-11-07/en/2025/1107/2358.html
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官方储备资产 Official reserve assets html xlsx pdf 2025-11-07/en/2021/0203/2045.html
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官方储备资产 Official reserve assets 项目 Item 2025.01 2025.02 2025.03 2025.04 2025.05 2025.06 2025.07 2025.08 2025.09 2025.10 2025.11 2025.12 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 亿美元 100million USD 亿SDR 100million SDR 1. 外汇储备 Foreign currency reserves 32090.36 24612.47 32272.24 24654.06 32406.65 24389.83 32816.62 24199.01 32852.55 24214.89 33174.22 24144.20 32922.35 24298.54 33221.54 24273.35 33386.58 24352.47 33433.43 24612.45 2. 基金组织储备头寸 IMF reserve position 100.48 77.07 100.87 77.06 101.12 76.10 111.86 82.48 113.03 83.31 112.86 82.14 109.28 80.65 113.40 82.86 112.29 81.91 110.58 81.40 3. 特别提款权 SDRs 527.12 404.29 530.77 405.48 538.82 405.53 550.51 405.95 552.18 407.00 559.30 407.06 552.69 407.92 560.13 409.26 561.14 409.30 555.62 409.03 4. 黄金 Gold 2065.34 1584.06 2086.43 1593.91 2295.94 1727.97 2435.85 1796.20 2419.88 1783.64 2429.31 1768.05 2439.85 1800.75 2538.43 1854.71 2832.91 2066.35 2972.09 2187.94 7345万盎司 7345万盎司 7361万盎司 7361万盎司 7370万盎司 7370万盎司 7377万盎司 7377万盎司 7383万盎司 7383万盎司 7390万盎司 7390万盎司 7396万盎司 7396万盎司 7402万盎司 7402万盎司 7406万盎司 7406万盎司 7409万盎司 7409万盎司 5. 其他储备资产 Other reserve assets -3.23 -2.48 -4.73 -3.61 -3.60 -2.71 -1.57 -1.16 -3.00 -2.21 -4.88 -3.55 -3.47 -2.56 -2.01 -1.47 -3.53 -2.57 -3.28 -2.41 合计 Total 34780.07 26675.41 34985.58 26726.90 35338.93 26596.72 35913.27 26482.48 35934.64 26486.63 36270.81 26397.90 36020.70 26585.30 36431.49 26618.71 36889.39 26907.46 37068.44 27288.41 注:自2016年4月1日起,除按美元公布官方储备资产外,增加以国际货币基金组织特别提款权(SDR)公布相关数据,折算汇率来源于国际货币基金组织网站,其中2025年1月USD/SDR=0.766974,2025年2月USD/SDR=0.763940,2025年3月USD/SDR=0.752618,2025年4月USD/SDR=0.737401,2025年5月USD/SDR=0.737078,2025年6月USD/SDR=0.727800,2025年7月USD/SDR=0.738056,2025年8月USD/SDR=0.730651,2025年9月USD/SDR=0.729409,2025年10月USD/SDR=0.736163。 2025-11-07/safe/2025/0206/25744.html