The External Wealth of Nations Mark II: Revised and Extended Estimates of Foreign Assets and Liabilities, 1970–2004
March 1, 2006
Disclaimer: This Working Paper should not be reported as representing the views of the IMF.The views expressed in this Working Paper are those of the author(s) and do not necessarily represent those of the IMF or IMF policy. Working Papers describe research in progress by the author(s) and are published to elicit comments and to further debate
Summary
We construct estimates of external assets and liabilities for 145 countries for the period 1970-2004. We describe our estimation methods and present key features of the data at the country and the global level. We focus on trends in net and gross external positions, and the composition of international portfolios, distinguishing between foreign direct investment, portfolio equity investment, official reserves, and external debt. We document the increasing importance of equity financing and the improvement in the external position for emerging markets, and the differing pace of financial integration between advanced and developing economies. We also show the existence of a global discrepancy between estimated foreign assets and liabilities, and identify the asset categories that account for this discrepancy.
Subject: Current account, Emerging and frontier financial markets, External position, Foreign assets, Stocks
Keywords: cumulated portfolio equity outflow, liability position, portfolio equity inflow, portfolio equity liability, WP
Pages:
50
Volume:
2006
DOI:
Issue:
069
Series:
Working Paper No. 2006/069
Stock No:
WPIEA2006069
ISBN:
9781451863291
ISSN:
1018-5941
Supplemental Resources
- Link to data for this title
ZIP
WEB
WEB
WEB
WEB
WEB
Notes
Link to updated and extended dataset (1970-2014) (Zip file size 961KB)





