Documentos de Académico
Documentos de Profesional
Documentos de Cultura
Balanza Pagos Anual
Balanza Pagos Anual
2001
-478.7
2002
-281.6
2003
-552.8
2004
-678.4
2005
-290.3
2006
-403.9
2007
-1,116.2
2008
-2,129.9
2009
-556.7
2010
-681.5
2011
-1,408.7
2012
-1,580.7
2013
-1,762.5
-644.4
3,343.4
1,291.2
2,037.8
14.4
3,987.8
2,679.9
1,307.6
0.3
-186.5
507.1
56.6
259.8
190.7
693.6
414.5
119.6
159.6
-830.9
-214.9
151.0
117.6
33.4
365.9
196.6
160.5
8.9
-1,045.9
537.6
440.6
-729.3
3,422.7
1,200.1
2,147.7
74.9
4,151.9
2,761.2
1,389.6
1.2
-206.6
504.8
62.3
256.3
186.2
711.4
425.3
127.6
158.5
-935.9
-257.8
123.3
87.6
35.7
381.1
157.9
212.4
10.8
-1,193.6
715.0
574.0
-636.7
3,744.9
1,159.3
2,494.5
91.1
4,381.6
2,772.9
1,608.3
0.4
-190.0
542.0
61.6
301.0
179.4
731.9
438.1
149.2
144.6
-826.7
-301.2
84.9
49.5
35.4
386.1
141.4
234.5
10.2
-1,127.8
846.3
765.3
-1,020.1
3,754.0
1,288.3
2,389.9
75.8
4,774.1
3,178.2
1,592.3
3.5
-162.1
591.1
45.0
364.4
181.7
753.2
373.8
217.5
162.0
-1,182.2
-361.8
67.9
44.9
23.1
429.8
126.1
291.6
12.0
-1,544.0
991.2
842.3
-1,293.3
4,533.9
1,566.8
2,888.1
78.9
5,827.2
3,883.6
1,940.8
2.7
-204.1
644.8
37.1
413.5
194.1
848.9
439.5
244.2
165.2
-1,497.4
-446.3
87.5
56.4
31.1
533.8
126.7
390.4
16.6
-1,943.7
1,265.3
1,138.0
-1,496.6
5,048.0
1,829.2
3,149.8
69.0
6,544.6
4,467.4
2,075.7
1.5
-229.2
699.6
38.7
463.5
197.5
928.8
499.9
262.1
166.8
-1,725.8
-459.6
145.0
115.6
29.4
604.7
124.7
479.5
0.5
-2,185.4
1,895.1
1,775.8
-2,026.7
5,276.6
2,016.3
3,167.6
92.6
7,303.3
5,218.3
2,084.2
0.8
-290.7
744.9
38.7
515.3
191.0
1,035.7
531.6
355.0
149.1
-2,317.4
-536.8
198.1
167.7
30.4
734.8
112.2
620.7
2.1
-2,854.2
2,450.3
2,328.6
-3,104.1
5,783.6
2,461.3
3,240.8
81.5
8,887.7
6,706.5
2,180.1
1.2
-288.1
780.7
49.9
545.6
185.3
1,068.8
625.1
212.0
231.7
-3,392.2
-395.2
257.2
224.3
32.9
652.4
115.0
534.9
2.5
-3,787.4
2,671.3
2,580.7
-4,255.6
6,198.3
2,783.4
3,350.0
64.9
10,453.9
8,208.7
2,244.7
0.6
-326.9
911.6
54.3
619.0
238.3
1,238.5
697.5
290.5
250.5
-4,582.5
-520.8
148.1
134.2
13.9
668.9
97.9
534.0
37.0
-5,103.3
2,973.4
2,807.5
-2,545.0
4,826.8
2,295.8
2,451.3
79.7
7,371.8
5,845.2
1,526.2
0.5
-18.2
945.8
61.3
615.9
268.6
964.0
463.2
296.0
204.7
-2,563.2
-631.5
71.8
62.3
9.5
703.3
74.5
601.7
27.2
-3,194.7
2,638.0
2,467.9
-2,642.6
6,264.4
2,734.8
3,432.1
97.5
8,907.0
6,605.7
2,300.7
0.6
-193.3
975.6
56.9
625.5
293.1
1,168.9
587.6
320.7
260.5
-2,835.9
-727.3
53.6
44.8
8.7
780.9
72.9
680.6
27.3
-3,563.2
2,881.7
2,609.2
-3,149.1
7,977.0
3,866.4
3,999.2
111.4
11,126.1
8,355.9
2,768.5
1.6
-423.3
1,023.0
79.6
636.7
306.7
1,446.2
796.4
354.4
295.5
-3,572.3
-974.0
58.6
45.6
13.0
1,032.7
90.0
909.7
33.0
-4,546.4
3,137.7
2,797.6
-3,011.8
8,359.3
4,295.4
3,939.4
124.5
11,371.1
8,620.1
2,748.4
2.6
-591.2
1,055.9
78.9
679.0
298.1
1,647.1
903.1
454.2
289.8
-3,602.9
-1,265.5
62.1
33.6
28.5
1,327.6
98.9
1,192.3
36.4
-4,868.5
3,287.7
2,891.8
-3,147.1
7,805.5
3,787.9
3,889.5
128.1
10,952.6
8,384.5
2,559.6
8.5
-667.7
1,012.9
101.8
608.2
302.9
1,680.6
902.4
404.0
374.2
-3,814.8
-1,353.0
48.2
32.7
15.5
1,401.2
152.8
1,207.5
40.9
-5,167.8
3,405.3
3,082.7
164.1
160.5
85.2
49.1
50.8
593.5
1,484.8
1,206.6
89.6
130.4
84.7
166.2
101.2
132.5
Crdito
d.c. Transferencias de Capital
Dbito
III. CUENTA FINANCIERA
164.1
164.1
0.0
255.6
160.5
160.5
0.0
302.1
85.2
85.2
0.0
169.8
49.1
49.1
0.0
304.2
50.8
50.8
0.0
948.1
593.5
593.5
0.0
85.6
1,484.8
1,484.8
0.0
-471.7
1,206.6
1,206.6
0.0
77.1
89.6
89.6
0.0
1,438.5
130.4
130.4
0.0
152.6
84.7
84.7
0.0
1,463.3
166.2
166.2
0.0
1,143.2
101.2
101.2
0.0
1,426.0
132.5
132.5
0.0
2,495.2
Inversin Directa 1
Inversin directa en el exterior
Inversin directa en Honduras
375.2
-6.5
381.7
301.4
-2.8
304.2
268.7
-6.5
275.2
390.6
-12.2
402.8
552.9
6.2
546.7
598.8
-1.0
599.8
668.5
-0.6
669.1
926.1
-1.5
927.5
1,007.3
1.0
1,006.4
505.3
-3.6
508.8
Inversin de Cartera
Activos
Acciones y otras participaciones
Ttulos de deuda
Pasivos
Acciones y otras participaciones
-59.0
-59.0
1.9
-60.9
0.0
0.0
-12.9
-12.9
-0.3
-12.6
0.0
0.0
-6.2
-6.2
-2.7
-3.5
0.0
0.0
-7.1
-7.3
-5.7
-1.6
0.2
0.2
-11.6
-11.8
-1.2
-10.6
0.2
0.2
-23.1
-23.1
-11.7
-11.4
0.0
0.0
-20.9
-20.9
1.8
-22.7
0.0
0.0
-22.4
-22.4
0.6
-23.0
0.0
0.0
-26.8
-26.8
-4.1
-22.6
0.0
0.0
37.1
3.3
0.4
2.9
33.8
33.8
970.6
1.4
969.2
0.0
-41.0
-18.9
2.4
-21.3
-22.1
-22.1
1,012.3
-2.1
1,014.4
0.0
87.7
45.8
-0.4
46.2
41.9
41.9
851.0
-207.6
1,058.5
0.0
1.1
-11.8
0.5
-12.3
12.9
12.9
991.6
-68.1
1,059.7
0.0
1,006.9
-0.1
0.0
-0.1
1,007.0
1,007.0
I. CUENTA CORRIENTE
BIENES Y SERVICIOS
BALANZA DE BIENES
Exportaciones
Mercancas Generales
Bienes para Transformacin
Otros Bienes
Importaciones
Mercancas Generales
Bienes para Transformacin
Otros Bienes
BALANZA DE SERVICIOS
Ingresos
Transporte
Viajes
Otros Servicios
Gastos
Transporte
Viajes
Otros Servicios
Balanza de bienes y servicios
BALANZA DE RENTA
Ingresos
Intereses
Otra Renta
Pagos
Intereses
Inversin Directa
Otra Renta
Balanza de bienes, servicios y renta
BALANZA DE TRANSFERENCIAS
d.c. Ingreso por Remesas Familiares
2000
-60.6
-139.7
-71.4
0.0
-71.4
9.5
0.0
0.0
0.0
9.5
-69.6
0.0
-7.9
-67.6
5.9
-8.2
0.0
0.0
0.0
-8.2
79.1
-42.3
0.0
-42.3
127.9
-32.5
7.4
-40.8
193.7
-1.7
0.0
0.0
-1.7
0.0
-4.8
-4.2
0.0
-0.6
0.0
2001
13.6
-28.1
46.1
0.0
46.1
-5.9
0.0
0.0
0.0
-5.9
-37.9
0.0
-16.2
-38.9
17.2
-30.4
0.0
0.0
0.0
-30.4
41.6
-8.4
0.0
-8.4
44.3
-20.5
127.1
-49.4
-12.9
1.3
0.0
0.0
1.3
0.0
4.4
2.1
0.0
2.3
0.0
2002
-92.7
-92.6
-15.7
0.0
-15.7
12.9
0.0
0.0
0.0
12.9
-82.5
0.0
-2.3
-76.4
-3.8
-7.2
0.0
0.0
0.0
-7.2
-0.1
36.8
0.0
36.8
-30.8
-23.1
-6.2
11.0
-12.5
-2.3
0.0
0.0
-2.3
0.0
-3.8
-2.7
0.0
-1.1
0.0
2003
-79.3
-62.6
-66.3
0.0
-66.3
-2.6
0.0
0.0
0.2
-2.8
10.9
0.0
-0.9
16.8
-5.0
-4.6
1.0
0.0
-0.1
-5.5
-16.7
0.1
0.0
0.1
-19.3
-15.8
34.8
-23.4
-14.9
4.6
3.5
0.0
1.1
0.0
-2.2
-0.8
0.0
2.6
-4.0
2004
406.7
-59.3
33.8
0.0
33.8
-17.3
0.0
0.0
-1.6
-15.7
-69.3
0.0
-1.0
-94.4
26.1
-6.5
2.6
0.0
-0.1
-9.0
466.0
23.6
0.0
23.6
411.1
-18.2
210.4
93.4
125.5
12.0
4.8
0.0
7.2
0.0
19.3
0.0
0.0
6.4
12.9
2005
-490.0
12.3
12.6
0.0
12.6
5.9
0.0
0.0
11.2
-5.3
-4.2
0.0
2.1
-5.3
-1.0
-1.9
-0.5
0.0
0.0
-1.5
-502.3
-1.0
0.0
-1.0
-531.1
-23.7
-529.5
84.1
-62.1
25.6
2.0
0.0
23.6
0.0
4.2
1.6
0.0
0.0
2.6
2006
-1,119.3
84.4
37.9
0.0
37.9
2.8
0.0
0.0
1.2
1.6
55.4
0.0
-0.1
22.5
33.0
-11.7
0.0
0.0
0.0
-11.7
-1,203.7
-1.0
0.0
-1.0
-1,205.4
-35.2
-1,277.6
113.4
-6.0
11.8
2.0
0.0
9.8
0.0
-9.1
0.8
0.0
0.0
-9.9
2007
-826.7
-29.2
9.7
0.0
9.7
-26.1
0.0
0.0
-29.3
3.3
-13.7
0.0
-0.1
-11.7
-1.9
1.0
0.0
0.0
0.0
1.0
-797.5
24.2
0.0
24.2
-840.8
-7.8
-1,028.3
145.5
49.8
16.9
2.6
0.0
14.3
0.0
2.2
0.7
0.0
0.0
1.4
2008
457.9
17.1
2.9
0.0
2.9
41.0
0.0
0.0
20.5
20.6
-26.8
0.0
-0.1
-27.8
1.1
0.0
0.0
0.0
0.0
0.0
440.8
20.3
0.0
20.3
397.2
-7.8
334.6
15.0
55.4
22.0
5.3
0.0
16.7
0.0
1.4
0.0
0.0
0.0
1.4
2009
-389.7
149.7
-9.1
0.0
-9.1
-3.6
0.0
0.0
-9.1
5.5
172.9
0.0
0.4
100.6
71.9
-10.5
0.0
0.0
0.0
-10.5
-539.5
25.2
0.0
25.2
-688.1
-22.8
81.0
-339.7
-406.6
-15.3
0.1
0.0
-15.3
0.0
138.8
156.9
0.0
0.0
-18.1
2010
533.7
65.8
-3.5
0.0
-3.5
22.7
0.0
0.0
20.3
2.4
53.7
0.0
-0.1
63.8
-10.0
-7.1
0.0
0.0
0.0
-7.1
467.9
-10.8
0.0
-10.8
491.1
-7.7
379.9
49.2
69.6
-10.0
3.2
0.0
-13.2
0.0
-2.4
0.1
0.0
0.0
-2.4
2011
43.2
-436.6
-2.9
0.0
-2.9
0.9
0.0
0.0
-3.8
4.7
-426.6
0.0
0.0
-30.7
-395.9
-8.0
0.0
0.0
0.0
-8.0
479.8
18.3
0.0
18.3
443.4
-8.6
429.6
5.8
16.6
25.2
2.4
0.0
22.8
0.0
-7.0
0.0
0.0
0.0
-7.0
2012
574.0
217.2
-31.3
0.0
-31.3
-2.7
0.0
0.0
0.8
-3.5
259.5
0.0
0.8
126.7
132.0
-8.3
0.0
0.0
-8.3
0.0
356.8
-246.8
0.0
-246.8
588.3
-9.1
437.7
184.7
-25.0
21.5
16.1
0.0
5.4
0.0
-6.3
0.0
0.0
-6.3
0.0
2013
496.7
-78.5
43.9
0.0
43.9
-4.3
0.0
0.0
-4.3
0.0
-90.2
0.0
0.0
-28.2
-62.0
-27.9
-30.0
0.0
2.1
0.0
575.3
-84.8
0.0
-84.8
664.7
-1.9
529.6
242.3
-105.3
3.4
-4.6
0.0
8.0
0.0
-8.0
-6.2
0.0
-1.8
0.0
-39.4
-128.0
128.0
-55.1
16.4
166.7
-44.0
-60.0
60.0
-101.1
13.3
147.8
17.0
-9.5
9.5
-105.8
-35.1
150.5
5.1
-194.5
194.5
96.6
-40.9
138.8
41.2
361.8
-361.8
-510.4
20.7
127.9
-201.9
186.9
-186.9
-346.3
1.9
157.5
-325.8
283.4
-283.4
-282.2
-113.9
112.7
-353.7
-186.2
186.2
108.6
0.0
77.6
498.8
-102.9
102.9
77.6
0.0
25.3
-200.0
-473.6
473.6
353.6
0.0
120.0
-299.6
566.8
-566.8
-592.2
0.0
25.3
179.2
79.9
-79.9
-86.0
0.0
6.1
-237.2
-290.8
290.8
282.7
0.0
8.1
-392.6
472.5
-472.5
-484.7
0.0
12.2
Preliminar.
Incluye acciones y participaciones de capital, utilidades y dividendos reinvertidos y otro capital.
Errores y omisiones: Un signo positivo (negativo) significa un ingreso (egresos) no registrado en la Balanza.
Cuenta Corriente:
Un signo positivo (negativo) significa un ingreso (salida) de capitales para el pas.
Cuenta Financiera:
Variacin Neta de Activos (VNA):Un signo positivo (negativo) significa una disminucin (aumento) de activos frente a no residentes.
Ejemplo: Disminucin de depsitos de residentes en el exterior (signo positivo).
Variacin Neta de Pasivos (VNP):Un signo positivo (negativo) significa un aumento (disminucin) de pasivos frente a no residentes.
Ejemplo: Aumento de depsitos de no residentes en el pas (signo positivo).
Activos de Reserva del BCH: Un signo positivo (negativo) significa una disminucin (aumento) de activos frente a no residentes.
Variaciones relativas
2014 p
-1,444.2
2015 p
-1,291.4
2007/2006
176.4
2008/2007
90.8
2009/2008
-73.9
2010/2009
22.4
2011/2010
106.7
2012/2011
12.2
-2,997.5
8,072.2
3,957.6
3,979.8
134.8
11,069.7
8,499.6
2,561.4
8.8
-697.5
1,086.9
98.3
629.5
359.1
1,784.4
955.7
412.2
416.6
-3,695.0
-1,321.5
46.7
30.4
16.3
1,368.2
197.5
1,128.6
42.1
-5,016.5
3,572.3
3,353.2
-3,056.3
8,040.7
3,824.5
4,086.7
129.6
11,097.0
8,573.6
2,514.3
9.1
-689.7
1,104.2
93.3
650.4
360.4
1,794.0
998.3
404.8
390.9
-3,746.0
-1,380.2
59.0
42.6
16.4
1,439.3
215.5
1,182.6
41.1
-5,126.2
3,834.8
3,649.8
53.2
9.6
22.1
2.3
-12.0
21.7
28.5
4.6
50.0
-0.9
4.8
28.9
5.9
-3.0
3.2
17.6
-40.3
55.4
46.4
-26.4
29.8
33.8
8.2
-11.2
2.5
-13.8
19.0
32.7
9.0
10.8
37.1
7.2
13.1
3.4
-20.4
17.6
22.4
3.0
-50.0
13.5
16.8
8.8
13.5
28.6
15.9
11.6
37.0
8.1
35.1
31.8
-42.4
-40.2
-57.8
2.5
-14.9
-0.2
1,380.0
34.7
11.3
8.8
-40.2
-22.1
-17.5
-26.8
22.8
-29.5
-28.8
-32.0
-16.7
-94.4
3.8
12.9
-0.5
12.7
-22.2
-33.6
1.9
-18.3
-44.1
21.3
-51.5
-53.6
-31.7
5.1
-23.9
12.7
-26.5
-37.4
-11.3
-12.1
3.8
29.8
19.1
40.0
22.3
20.8
13.0
50.7
20.0
962.1
3.2
-7.2
1.6
9.1
21.3
26.9
8.3
27.3
10.6
15.2
-25.3
-28.1
-8.4
11.0
-2.1
13.1
0.4
11.5
9.2
5.7
19.2
27.3
41.4
16.5
14.3
24.9
26.5
20.3
166.7
119.0
4.9
39.9
1.8
4.6
23.7
35.5
10.5
13.4
26.0
33.9
9.3
1.8
49.4
32.2
23.5
33.7
20.9
27.6
8.9
7.2
-4.4
4.8
11.1
-1.5
11.8
2.2
3.2
-0.7
62.5
39.7
3.2
-0.9
6.6
-2.8
13.9
13.4
28.2
-1.9
0.9
29.9
6.0
-26.3
119.2
28.6
9.9
31.1
10.3
7.1
4.8
3.4
144.6
141.2
144.6
144.6
0.0
1,651.3
141.2
141.2
0.0
1,399.9
1,120.0
-24.1
1,144.1
0.0
40.5
20.1
-0.3
20.4
20.4
20.4
1,112.8
-90.7
1,203.5
0.0
-9.3
-8.8
0.0
-8.7
-0.6
-0.6
38.6
8.5
-49.4
90.5
4.7
4.3
Variaciones relativas
2014 p
490.8
38.1
12.7
0.0
12.7
-17.5
0.0
0.0
-17.5
0.0
53.2
0.0
0.0
-54.4
107.5
-10.2
0.0
0.0
-10.2
0.0
452.7
-88.6
0.0
-88.6
547.6
-7.2
477.9
159.3
-82.3
9.8
-6.1
0.0
15.9
0.0
-16.2
-6.3
0.0
-9.9
0.0
2015 p
296.4
-90.3
43.3
0.0
43.3
-1.9
0.0
0.0
3.0
-4.8
-111.8
0.0
0.0
96.5
-208.2
-19.9
-34.5
0.0
2.2
12.3
386.6
25.8
0.0
25.8
376.3
-5.3
384.9
16.4
-19.7
-20.6
-7.9
0.0
-12.7
0.0
5.1
15.6
0.0
-10.5
0.0
107.6
459.3
-459.3
-458.7
0.0
-0.6
43.3
292.9
-292.9
-303.0
0.0
10.0
2007/2006
2008/2007
Preliminar.
Incluye acciones y participaciones de capital, utilidades y dividendos reinvertidos y otro capital.
Errores y omisiones: Un signo positivo (negativo) significa un ingreso (egresos) no registrado en la Balanza.
Cuenta Corriente:
Un signo positivo (negativo) significa un ingreso (salida) de capitales para el pas.
Cuenta Financiera:
Variacin Neta de Activos (VNA):Un signo positivo (negativo) significa una disminucin (aumento) de activos frente a no residentes.
Ejemplo: Disminucin de depsitos de residentes en el exterior (signo positivo).
Variacin Neta de Pasivos (VNP):Un signo positivo (negativo) significa un aumento (disminucin) de pasivos frente a no residentes.
Ejemplo: Aumento de depsitos de no residentes en el pas (signo positivo).
Activos de Reserva del BCH: Un signo positivo (negativo) significa una disminucin (aumento) de activos frente a no residentes.
2009/2008
2010/2009
2011/2010
2012/2011