Malaysia - 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)

Periodicity: Annual

General Comments: Note: Data are based on the sixth edition of the IMF's Balance of Payments Manual (BPM6) and are only available from 2005 onwards. In BPM6, the headings of the financial account have been changed from credits and debits to net acquisition of financial ass

Classification

Topic: Economic Policy & Debt Indicators

Sub-Topic: Balance of payments