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As shown in the statistics of the State Administration of Foreign Exchange (SAFE), in January 2026, the amount of foreign exchange settlement and sales by banks was RMB 2004.8 billion and RMB 1445.7 billion, respectively. In the US dollar terms, in January 2026, the amount of foreign exchange settlement and sales by banks was USD 286.3 billion and USD 206.5 billion, respectively. In January 2026, the amount of cross-border receipts and payments by non-banking sectors was RMB 5472.2 billion and RMB 4897.4 billion, respectively. In the US dollar terms, in January 2026, the amount of cross-border receipts and payments by non-banking sectors was USD 781.6 billion and USD 699.5 billion, respectively. Addendum: Glossary and relevant definitions Foreign exchange settlement and sales by banks refers to settlement and sale transaction that bank executes for customers and for the banks themselves, including statistic data on settlements of forward contracts for foreign exchange settlement and sales and the exercises of option, and excluding the transactions in the interbank foreign exchange market. The statistic reporting date of Foreign exchange settlement and sales by banks should be the trade day of the Foreign exchange settlement and sales transaction. By definition, foreign exchange settlement means that foreign exchange holders sell foreign exchange to banks, and foreign exchange sales means that banks sell foreign exchange to foreign exchange buyers. The newly signed contract amount of forward foreign exchange settlement and sales refers to the binding forward contract between a bank and its client that predetermines foreign exchange currency, amount, exchange rate and tenor which to be executed upon maturity. The unwind amount of forward foreign exchange settlement and sales refers to, where client is unable to perform the original forward contract due to change in its real demand, client to fully or partially close its forward position by executing another deal with opposite direction to the original contract. The rolling amount of forward foreign exchange settlement and sales refers to client to adjust the settlement date of original contract due to change in its real demand. The outstanding amount of forward foreign exchange settlement and sales by the end of the current period refers to the total amount of forward contracts accumulated from all non-matured forward contracts with client. The net Delta exposure of outstanding options refers to the implied foreign exchange spot risk exposure from outstanding option contracts that bank executed with client. The cross-border receipts and payments by non-banking sectors refers to the receipts and payments between domestic non-banking sectors (including institutional and individual residents) and non-residents through domestic banks, excluding cash transactions and bank’s own cross-border receipts and payments. In particular, the statistics includes cross-border receipts and payments between non-banking sectors and non-residents through domestic banks (including RMB and foreign currency), and domestic receipts and payments between non-banking sectors and non-residents through domestic banks (temporarily excluding domestic receipts and payments in RMB between individual/institutional residents and non-resident individuals). Data are collected when customers conduct receipts and payments with non-resident counterparties at domestic banks. Specifically, the receipts refer to funds received by non-banking sectors from non-residents via domestic banks; the payments refer to funds paid by non-banking sectors to non-residents via domestic banks. 2026-02-13/en/2026/0213/2390.html
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日前,国家外汇管理局公布了2026年1月银行结售汇和银行代客涉外收付款数据。国家外汇管理局副局长、新闻发言人李斌就2026年1月外汇市场形势回答了记者提问。 问:新年伊始,请问我国外汇市场形势如何?有何变化? 答:今年以来,国际金融市场波动和分化加大,我国外汇市场继续稳健运行。跨境资金保持净流入,规模较上月有所回落。1月,银行结售汇顺差、企业和个人等非银行部门跨境资金净流入较上月分别下降20%和28%。受季节性等因素影响,岁末年初企业收款和结汇增加较快,随着需求逐步释放,近期企业收款和结汇增长放缓。从主要渠道看,1月,货物贸易项下资金净流入较上月下降27%,服务贸易项下资金净流出增长23%,证券投资项下资金净流入保持稳定。总的来看,我国外汇市场交易活跃、预期平稳,跨境资金流动更趋稳定。 2026-02-13/guangdong/2026/0213/3168.html
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日前,国家外汇管理局公布了2026年1月银行结售汇和银行代客涉外收付款数据。国家外汇管理局副局长、新闻发言人李斌就2026年1月外汇市场形势回答了记者提问。 问:新年伊始,请问我国外汇市场形势如何?有何变化? 答:今年以来,国际金融市场波动和分化加大,我国外汇市场继续稳健运行。跨境资金保持净流入,规模较上月有所回落。1月,银行结售汇顺差、企业和个人等非银行部门跨境资金净流入较上月分别下降20%和28%。受季节性等因素影响,岁末年初企业收款和结汇增加较快,随着需求逐步释放,近期企业收款和结汇增长放缓。从主要渠道看,1月,货物贸易项下资金净流入较上月下降27%,服务贸易项下资金净流出增长23%,证券投资项下资金净流入保持稳定。总的来看,我国外汇市场交易活跃、预期平稳,跨境资金流动更趋稳定。 2026-02-13/safe/2026/0213/27145.html
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银行代客涉外收付款数据时间序列 2026年银行代客涉外收付款数据(分地区) 2025年银行代客涉外收付款数据(分地区) 2024年银行代客涉外收付款数据(分地区) 2023年银行代客涉外收付款数据(分地区) 2022年银行代客涉外收付款数据(分地区) 2021年银行代客涉外收付款数据(分地区) 2020年银行代客涉外收付款数据(分地区) 2026-03-16/safe/2018/0419/8806.html
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为深入贯彻落实党的二十届四中全会和中央经济工作会议精神,提升外汇领域法规政策透明度,日前,国家外汇管理局更新发布《现行有效外汇管理主要法规目录(截至2025年12月31日)》(以下简称《目录》)。 更新后的《目录》共收录截至2025年12月31日已发布实施的外汇管理主要法规169件,按照综合、经常项目外汇管理、资本项目外汇管理、金融机构外汇业务监管、人民币汇率与外汇市场、国际收支与外汇统计、外汇检查与法规适用、外汇科技管理8大项目分类,并根据具体业务类型分为若干子项。本次新纳入《目录》的文件主要涉及跨国公司本外币一体化资金池业务、跨境投融资、债券回购、对外金融资产负债及交易统计制度等。 2026-02-05/jiangxi/2026/0205/2917.html
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国家外汇管理局统计数据显示,截至2026年1月末,我国外汇储备规模为33991亿美元,较2025年12月末上升412亿美元,升幅为1.23%。 2026年1月,受主要经济体财政政策、货币政策及预期等因素影响,美元指数下跌,全球主要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。我国经济运行稳中有进,发展韧性进一步彰显,为外汇储备规模保持基本稳定提供支撑。 2026-02-13/jiangxi/2026/0213/2922.html
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2月4日,国家外汇管理局举办2026年退休干部新春团拜会。国家外汇管理局党组书记、局长朱鹤新出席并致辞,代表国家外汇管理局党组向各位老领导、老同志致以诚挚的节日问候和新春祝福。国家外汇管理局党组成员、副局长出席活动。 朱鹤新指出,过去的一年,国家外汇管理局坚持以习近平新时代中国特色社会主义思想为指导,认真贯彻落实党中央、国务院决策部署,统筹国内国际两个大局,统筹发展和安全,深化拓展外汇领域改革开放,强化外汇市场建设和监管,大力提升外汇服务实体经济质效,外汇市场顶住压力平稳运行,展现出较强韧性和活力,外汇储备规模保持基本稳定。 朱鹤新表示,退休干部是外汇管理事业的宝贵财富,是推动外汇管理高质量发展的重要力量。国家外汇管理局党组将深入学习贯彻习近平总书记关于老干部工作的重要论述和重要指示批示精神,深刻把握老干部工作的政治性、服务性,满腔热忱为老同志办实事、做好事、解难事。希望老同志们永葆政治本色,发挥自身优势和专业特长,一如既往地关心支持外汇管理工作,为建设金融强国、推进中国式现代化贡献外汇力量。 国家外汇管理局部分在京退休干部、退休干部工作领导小组成员单位主要负责同志参加团拜会。 2026-02-05/jiangxi/2026/0205/2916.html
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国家外汇管理局统计数据显示,2025年12月,中国外汇市场(不含外币对市场,下同)总计成交28.17万亿元人民币(等值3.99万亿美元)。其中,银行对客户市场成交4.78万亿元人民币(等值0.68万亿美元),银行间市场成交23.39万亿元人民币(等值3.31万亿美元);即期市场累计成交10.44万亿元人民币(等值1.48万亿美元),衍生品市场累计成交17.73万亿元人民币(等值2.51万亿美元)。 2025年1-12月,中国外汇市场累计成交304.57万亿元人民币(等值42.64万亿美元)。 2026-02-05/jiangxi/2026/0205/2918.html
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见附件。 附件1:2025年中国外汇市场交易概况-以美元计价 附件2:2025年中国外汇市场交易概况-以人民币计价 2026-02-05/jiangxi/2026/0205/2920.html
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1月14日,国家外汇管理局赣州市分局调研组赴宁都县调研县域外汇服务工作。调研组前往江西丽都宝轻纺企业有限公司开展了实地调研,就汇率避险、贸易收支便利化等外汇政策进行了宣讲解读,并对企业诉求进行了回应。此外,调研组还先后走访了宁都县两个外币代兑点,对存在的问题给予现场指导。 2026-02-13/jiangxi/2026/0213/2915.html