(2025-Q3) Summary of Haiti's balance of payments, quarterly basis, October 2009 to September 2025 (updated 28 May 2026)
Summary — The quarterly companion to the BRH's annual balance-of-payments statement, one landscape table of 64 quarterly columns from October-December 2009 to July-September 2025, in millions of US dollars. It is the only within-quarter read on Haiti's external accounts. Each of the four quarters of FY2025 shows a current-account surplus, from US$77.0 million to US$147.4 million, and the four sum to the US$453.4 million published in the annual table.
Key Findings
- All four quarters of FY2025 show a current-account surplus: US$77.0 mn (Oct-Dec 2024), US$102.6 mn (Jan-Mar 2025), US$147.4 mn (Apr-Jun) and US$126.3 mn (Jul-Sep).
- The four quarters sum to the US$453.4 mn the annual table prints for FY2025, and the same identity holds for every complete fiscal year, which is the check that confirms the column alignment.
- BRH marks October-December 2022 onward provisional, so three years of quarters are still open to revision.
- This is the only quarterly read on Haiti's external accounts; no other source publishes one.
- Only the lines printed as a single net value per quarter are machine-readable: the goods, services, income and capital-account rows print credit and debit overlapping in one cell.
- Quarters are labelled by calendar month range while BRH fiscal years run October to September, so an October-December quarter belongs to the following fiscal year.
Full Description
"Résumé de la balance des paiements d'Haïti", base trimestrielle: the BRH's quarterly external accounts, published alongside the annual table on its "Balance des paiements et commerce extérieur" statistics page. One landscape page carries the same BPM6 line structure as the annual statement across 64 quarterly columns, from October-December 2009 to July-September 2025, in millions of US dollars. Haiti has no quarterly national accounts of the external sector anywhere else, which makes this the only source for within-year movement in the current account and the overall balance.
The FY2025 quarters, all provisional, run October-December 2024 US$77.0 million, January-March 2025 US$102.6 million, April-June US$147.4 million and July-September US$126.3 million on the current account, summing to the US$453.4 million printed for the fiscal year in the annual table. That identity holds for every complete fiscal year in the table and is the check worth running before quoting any quarter, because a column read one position out produces a plausible set of wrong numbers rather than an error.
Two cautions apply to reading it. BRH marks October-December 2022 onward provisional, three years of quarters that will move. And most line items print their credit and debit detail inside a single cell, so the goods, services, income and capital-account rows overlap character by character in the file's text layer: only the lines BRH prints as a single net value per quarter, the current account, direct investment, net errors and omissions and the overall balance, can be read out reliably. The published quarters are labelled by calendar month range, while BRH fiscal years run October to September, so the October-December quarter belongs to the following fiscal year.
Full Document Text
Extracted text from the original document for search indexing.
Résumé de la Balance des Paiements d'Haïti
(en millions de dollars EU)
Oct.-Déc. 09 Janv.-Mars 10 Avr. - Juin 10 Juil.-Sept. 10 Oct-Déc 10 Janv.-Mars 11 Avr. - Juin 11 Juil. - Sept. 11 Oct-Déc 11 Jan-Mars 12 Avril-Juin 12 Juil. Sept. 12 Oct-Déc 12 Jan-Mars 13 Avril-Juin 13 Juil. Sept. 13 Oct-Déc 13 Jan-Mars 14 Avril-Juin 14 Juil-Sept 14 Oct-Déc 14 Janv-Mars 15 Avril-Juin 15 Juil-Sept 15 Oct-Déc 15 Janv-Mars 16 Avril-Juin 16 Juil-Sept 16 Oct-Déc 16 Jan-Mars17 Avril-Juin 17 Juil-Sept 17 Oct-Déc 17 Jan-Mars18 Avr.-Juin 18 Juil-Sept 18 Oct-Déc 18 Jan-Mars19 Avr.-Juin 19 Juil-Sept 19 Oct-Déc 19 Jan-Mars 20 Avr.-Juin 20 Juil-Sept 20 Oct-Déc 20 Jan-Mars 21 Avr.-Juin 21 Juil-Sept 21 Oct-Déc 21 Jan-Mars 22 Avr.-Juin 22 Juil-Sept 22 Oct-Déc 22 (P) Jan-Mars 23 (P) Avr.-Juin 23 (P) Juil-Sept 23 (P) Oct-Déc 23 (P) Jan-Mars 24 (P) Avr.-Juin 24 (P) Juil-Sept 24 (P) Oct-Déc 24 (P) Jan-Mars 25 (P) Avr.-Juin 25 (P) Juil-Sept 25 (P)
A. COMPTE DES TRANSACTIONS COURANTES -66.51 225.36 31.00 -291.68 -179.89 -81.35 -14.40 -51.18 -234.92 -133.35 19.69 -100.69 -172.92 -220.32 -196.17 28.57 -246.15 -155.98 -156.40 -193.91 -142.83 -117.87 -41.39 36.76 -16.58 6.89 -121.28 -106.93 5.19 -140.48 -75.39 -114.22 -211.61 -68.99 -75.01 -118.50 -121.75 -46.36 -112.01 111.55 43.30 -67.66 140.79 143.66 -189.09 -212.62 57.03 123.36 133.29 -240.40 -134.78 -169.78 187.87 -129.56 -270.09 22.95 33.40 86.07 151.81 103.47 77.02 102.64 147.39 126.32
Biens et services -465.72 -723.90 -968.66 -1 112.66 -872.84 -776.95 -676.32 -795.64 -852.40 -756.77 -585.49 -677.06 -736.14 -778.96 -737.09 -623.47 -798.13 -740.70 -775.36 -776.98 -734.78 -718.19 -663.17 -627.03 -614.23 -586.98 -717.54 -704.73 -698.21 -786.06 -822.74 -854.71 -932.05 -834.01 -907.09 -964.76 -876.54 -758.59 -887.88 -576.26 -624.98 -744.99 -838.71 -874.34 -1 104.48 -1 255.45 -1 038.17 -862.53 -855.92 -1 109.86 -1 126.39 -963.11 -672.25 -959.02 -1 145.42 -912.94 -1 046.86 -796.96 -764.93 -895.09 -1 058.63 -998.81 -1 002.64 -1 031.98
Crédit 276.66 155.38 280.66 303.68 249.87 315.86 370.34 375.61 327.02 287.51 354.39 354.70 375.30 361.13 404.73 425.75 399.04 368.71 403.17 491.20 402.57 395.01 460.61 489.60 411.47 385.74 432.04 415.30 410.04 389.35 407.09 457.91 445.25 385.24 473.35 475.84 439.49 389.52 421.83 481.90 328.98 338.16 156.80 317.98 354.03 301.00 370.02 403.87 368.80 306.85 412.08 367.79 269.90 292.31 299.39 302.99 267.35 192.38 249.91 237.42 231.30 195.55 222.98 233.94
Débit -742.38 -879.28 -1 249.32 -1 416.34 -1 122.71 -1 092.81 -1 046.66 -1 171.25 -1 179.42 -1 044.28 -939.88 -1 031.76 -1 111.44 -1 140.08 -1 141.82 -1 049.22 -1 197.17 -1 109.40 -1 178.53 -1 268.17 -1 137.34 -1 113.20 -1 123.78 -1 116.63 -1 025.70 -972.71 -1 149.58 -1 120.03 -1 108.25 -1 175.41 -1 229.82 -1 312.62 -1 377.30 -1 219.25 -1 380.44 -1 440.60 -1 316.04 -1 148.10 -1 309.71 -1 058.16 -953.96 -1 083.14 -995.51 -1 192.32 -1 458.52 -1 556.45 -1 408.19 -1 266.40 -1 224.72 -1 416.71 -1 538.47 -1 330.89 -942.15 -1 251.33 -1 444.82 -1 215.92 -1 314.21 -989.33 -1 014.85 -1 132.52 -1 289.92 -1 194.36 -1 225.62 -1 265.92
Biens -401.27 -454.61 -732.77 -858.05 -701.82 -664.67 -572.86 -607.02 -720.16 -615.62 -452.62 -516.30 -637.26 -668.69 -634.01 -485.77 -711.07 -644.84 -656.99 -692.33 -648.68 -668.90 -602.67 -504.85 -599.47 -596.36 -696.03 -656.28 -675.92 -743.78 -715.05 -835.86 -912.68 -790.51 -881.59 -932.11 -845.86 -734.82 -847.20 -582.32 -543.25 -679.15 -735.93 -787.91 -960.11 -1 085.32 -944.49 -779.95 -707.54 -979.14 -959.29 -821.85 -573.04 -846.74 -1 030.91 -792.42 -922.84 -707.89 -689.10 -786.32 -918.29 -892.50 -899.19 -904.24
Crédit 144.37 85.55 166.01 167.44 161.89 170.75 211.30 224.14 178.90 156.28 219.10 220.35 216.84 197.08 252.66 248.32 224.73 201.87 249.90 284.44 252.95 215.28 277.33 278.73 249.69 220.23 263.95 273.57 227.86 235.17 267.44 260.93 256.20 229.28 291.37 301.54 294.74 267.09 309.96 329.99 299.70 282.53 149.60 277.33 305.32 272.42 338.75 371.13 344.04 282.00 383.89 344.13 239.92 256.11 267.14 262.64 229.77 170.20 221.64 208.42 199.36 172.81 195.12 198.90
Débit -545.65 -540.16 -898.77 -1 025.49 -863.71 -835.42 -784.16 -831.16 -899.06 -771.91 -671.72 -736.65 -854.10 -865.77 -886.67 -734.10 -935.79 -846.71 -906.88 -976.77 -901.63 -884.17 -880.00 -783.58 -849.17 -816.60 -959.98 -929.84 -903.78 -978.96 -982.49 -1 096.79 -1 168.88 -1 019.79 -1 172.96 -1 233.65 -1 140.61 -1 001.91 -1 157.16 -912.31 -842.95 -961.68 -885.53 -1 065.24 -1 265.43 -1 357.74 -1 283.24 -1 151.08 -1 051.59 -1 261.14 -1 343.18 -1 165.98 -812.95 -1 102.85 -1 298.05 -1 055.05 -1 152.60 -878.09 -910.74 -994.74 -1 117.65 -1 065.30 -1 094.31 -1 103.14
Services -64.45 -269.29 -235.89 -254.62 -171.02 -112.28 -103.46 -188.61 -132.23 -141.15 -132.87 -160.76 -98.88 -110.26 -103.08 -137.70 -87.07 -95.86 -118.38 -84.65 -86.10 -49.29 -60.49 -122.18 -14.76 9.39 -21.51 -48.46 -22.29 -42.28 -107.69 -18.84 -19.37 -43.50 -25.50 -32.65 -30.68 -23.77 -40.67 6.06 -81.73 -65.84 -102.78 -86.43 -144.38 -170.13 -93.68 -82.58 -148.38 -130.72 -167.09 -141.26 -99.21 -112.28 -114.51 -120.52 -124.02 -89.06 -75.83 -108.78 -140.33 -106.32 -103.44 -127.74
Crédit 132.29 69.83 114.65 136.23 87.99 145.11 159.04 151.47 148.12 131.23 135.29 134.35 158.46 164.05 152.07 177.42 174.31 166.84 153.28 206.75 149.61 179.73 183.29 210.87 161.77 165.50 168.09 141.74 182.18 154.18 139.65 196.98 189.06 155.96 181.98 174.30 144.75 122.42 111.88 151.92 29.28 55.62 7.19 40.65 48.71 28.58 31.27 32.73 24.76 24.85 28.19 23.66 29.99 36.20 32.26 40.35 37.58 22.18 28.27 29.00 31.94 22.74 27.86 35.04
Débit -196.74 -339.12 -350.55 -390.85 -259.00 -257.39 -262.50 -340.09 -280.36 -272.38 -268.16 -295.12 -257.34 -274.31 -255.15 -315.12 -261.38 -262.70 -271.65 -291.40 -235.71 -229.03 -243.78 -333.06 -176.53 -156.12 -189.60 -190.19 -204.47 -196.45 -247.34 -215.83 -208.42 -199.46 -207.49 -206.95 -175.43 -146.19 -152.55 -145.86 -111.01 -121.46 -109.97 -127.08 -193.09 -198.71 -124.95 -115.31 -173.14 -155.57 -195.28 -164.91 -129.20 -148.48 -146.77 -160.87 -161.60 -111.24 -104.11 -137.78 -172.27 -129.06 -131.31 -162.78
Revenus nets 6.76 5.82 5.62 4.08 4.95 10.49 9.00 13.36 11.23 16.26 11.61 15.45 5.34 8.57 4.23 13.39 7.74 16.06 11.72 11.77 11.48 11.55 9.89 7.71 9.40 12.72 9.88 15.92 14.95 13.81 16.97 12.78 5.15 12.62 16.90 15.60 12.85 14.12 9.30 13.39 7.51 6.88 5.68 8.53 4.50 8.41 3.33 7.18 3.84 7.35 5.07 7.60 0.25 0.89 3.94 -0.77 -2.69 -8.14 -4.37 -8.38 5.78 3.59 9.02 3.31
Crédit 8.81 9.11 8.64 6.14 6.25 10.82 10.36 13.61 13.42 16.78 12.46 15.84 8.68 10.74 9.35 17.79 11.51 19.63 16.26 16.14 16.04 17.05 14.25 14.46 14.78 16.69 17.36 19.39 19.01 19.29 22.32 16.81 10.35 17.36 22.43 20.08 18.15 18.80 15.26 18.71 12.82 12.86 12.09 12.68 9.27 12.36 8.98 11.64 8.61 11.21 10.09 11.46 11.36 14.68 13.83 11.95 12.23 6.93 8.11 7.19 7.90 7.56 10.49 7.05
Débit -2.06 -3.29 -3.02 -2.05 -1.31 -0.33 -1.36 -0.24 -2.19 -0.52 -0.85 -0.39 -3.35 -2.17 -5.12 -4.40 -3.77 -3.57 -4.54 -4.37 -4.56 -5.51 -4.36 -6.75 -5.39 -3.97 -7.48 -3.47 -4.06 -5.48 -5.35 -4.02 -5.20 -4.73 -5.54 -4.48 -5.30 -4.68 -5.96 -5.32 -5.32 -5.98 -6.41 -4.15 -4.77 -3.95 -5.65 -4.47 -4.77 -3.86 -5.03 -3.86 -11.11 -13.80 -9.89 -12.72 -14.92 -15.07 -12.48 -15.57 -2.12 -3.97 -1.47 -3.74
Transferts courants nets 392.45 943.44 994.04 816.90 688.01 685.11 652.92 731.09 606.25 607.16 593.57 560.93 557.88 550.07 536.70 638.65 544.25 568.66 607.24 571.29 580.47 588.77 611.88 656.08 588.26 581.15 586.38 581.88 688.45 631.77 730.38 727.71 715.29 752.40 815.18 830.66 741.94 698.10 766.57 674.42 660.77 670.45 973.82 1 009.47 910.89 1 034.42 1 091.87 978.71 985.38 862.11 986.54 785.73 859.87 828.57 871.39 936.65 1 082.95 891.16 921.12 1 006.95 1 129.86 1 097.86 1 141.01 1 154.98
Crédit 428.93 973.20 1 038.26 873.42 748.76 743.29 713.75 791.57 666.82 658.61 650.63 623.78 623.37 606.00 596.86 704.77 612.37 626.46 665.17 636.03 649.00 645.87 670.18 719.45 654.66 639.78 651.61 657.96 761.26 697.31 808.82 808.65 797.78 828.99 888.81 907.36 820.97 762.26 835.25 747.52 777.66 795.57 1 054.84 1 120.27 1 075.23 1 157.26 1 209.25 1 110.01 1 126.71 989.04 1 116.50 900.50 973.66 950.77 996.81 1 066.31 1 230.97 1 019.12 1 046.69 1 151.07 1 272.54 1 236.58 1 272.85 1 307.17
Dons officiels3/ 62.50 561.50 687.50 528.50 350.00 336.00 310.00 450.00 266.43 239.00 241.70 240.38 191.07 151.71 131.71 275.51 125.00 128.00 160.00 150.00 112.49 98.00 103.09 175.36 99.45 70.51 86.78 112.19 138.49 102.65 120.30 114.37 110.19 86.25 86.29 127.51 72.42 40.03 30.66 39.86 12.79 27.71 65.72 78.53 57.87 41.55 34.45 30.38 62.70 27.88 68.93 29.48 30.61 26.73 39.31 50.99 68.50 23.61 33.89 56.50 45.71 4.88 12.62 47.93
Envoi de fonds des travailleurs 366.43 411.70 350.76 344.92 398.76 407.29 403.75 341.57 400.39 419.61 408.93 383.40 432.30 454.29 465.15 429.26 487.37 498.46 505.17 486.03 536.51 547.87 567.09 544.09 552.22 568.21 563.22 543.46 594.74 581.81 620.99 621.62 682.46 695.19 692.15 665.37 697.91 660.72 694.00 642.51 714.03 702.21 865.65 975.39 966.14 978.22 1 076.21 973.82 1 012.69 924.64 1 006.50 853.93 924.36 906.26 933.95 988.32 1 130.30 978.00 1 003.93 1 061.59 1 206.89 1 218.07 1 242.31 1 245.25
Autres 2.99 1.05 1.60 2.31 28.03 12.85 67.52 72.65 5.12 47.55 110.37 114.48 50.63 61.50 110.59 65.16 50.84 65.65 123.47 66.35 51.22 137.50 98.59 105.81 51.32 36.53 41.07 17.08 18.70 17.78 23.55 27.00 32.17 17.51 8.87 32.98 19.94 13.63 17.92 13.98
Débit -36.48 -29.76 -44.22 -56.52 -60.75 -58.19 -60.83 -60.47 -60.57 -51.44 -57.06 -62.85 -65.48 -55.93 -60.16 -66.12 -68.13 -57.80 -57.94 -64.73 -68.53 -57.10 -58.30 -63.37 -66.40 -58.63 -65.23 -76.08 -72.80 -65.53 -78.43 -80.94 -82.49 -76.59 -73.63 -76.69 -79.03 -64.15 -68.68 -73.11 -116.89 -125.13 -81.02 -110.80 -164.34 -122.85 -117.38 -131.30 -141.33 -126.93 -129.97 -114.76 -113.79 -122.20 -125.42 -129.66 -148.02 -127.96 -125.57 -144.13 -142.67 -138.72 -131.85 -152.19
B. COMPTE DE CAPITAL 83.63 228.95 710.69 447.71 598.88 42.50 42.50 42.50 16.38 22.31 22.00 15.00 3.14 1.43 8.62 6.81 5.80 6.50 7.60 6.00 6.00 8.00 0.00 4.00 46.46 26.09 32.83 38.09 46.01 44.01 47.01 48.01 40.89 39.89 38.89 39.89 24.04 19.04 14.04 14.04 18.72 13.05 12.60 17.23 5.91 27.90 6.69 14.25 28.20 15.27 13.25 6.29 21.66 12.74 6.65 15.86 14.05 1 586.25 12.48 10.79 28.76 20.91 52.99 45.49
Crédit 83.63 228.95 710.69 447.71 598.88 42.50 42.50 42.50 16.38 22.31 22.00 15.00 3.14 1.43 8.62 6.81 5.80 6.50 7.60 6.00 6.00 8.00 0.00 4.00 46.46 26.09 32.83 38.09 46.01 44.01 47.01 48.01 40.89 39.89 38.89 39.89 24.04 19.04 14.04 14.04 18.72 13.05 12.60 17.23 5.91 27.90 6.69 14.25 28.20 15.27 13.25 6.29 21.66 12.74 6.65 15.86 14.05 1 586.25 12.48 10.79 28.76 20.91 52.99 45.49
Débit 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
C. COMPTE D'OPÉRATIONS FINANCIÈRES -9.35 -109.82 -393.29 -239.79 -490.16 93.86 39.61 213.07 -98.92 314.66 240.20 145.64 36.90 335.79 139.78 493.08 260.02 76.56 133.00 212.07 142.62 -49.60 118.39 -45.34 23.24 -15.83 -18.36 0.33 -10.28 -54.21 149.77 94.52 119.68 19.29 127.77 55.19 16.18 -88.92 -6.12 -66.77 -20.63 16.00 -92.96 -89.42 -79.54 50.83 -82.89 5.31 -54.88 46.29 35.81 -14.78 15.85 -56.47 -9.77 -49.62 -79.42 -1 350.02 -46.08 -122.66 -39.99 -67.62 6.23 7.38
Investissements directs 17.00 57.00 47.00 57.00 24.50 24.50 4.50 65.50 19.31 68.06 26.31 42.32 37.00 44.65 45.27 35.00 34.00 27.00 26.00 12.00 28.75 27.75 32.43 16.75 26.62 20.00 25.00 33.28 15.00 22.00 314.86 23.00 25.00 30.00 27.00 23.00 25.00 15.00 18.00 17.00 10.00 12.00 0.00 3.00 7.70 9.23 13.00 21.37 10.86 12.09 9.20 7.27 6.51 7.25 5.52 4.36 11.13 11.13 11.13 11.13 14.40 14.40 14.40 14.40
Autres investissements -26.35 -166.82 -440.29 -296.79 -514.66 69.36 35.11 147.57 -118.23 246.60 213.89 103.32 -0.10 291.14 94.51 458.08 226.02 49.56 107.00 200.07 113.87 -77.35 85.96 -62.09 -3.38 -35.83 -43.36 -32.95 -25.28 -76.21 -165.09 71.52 94.68 -10.71 100.77 32.19 -8.82 -103.92 -24.12 -83.77 -30.63 4.00 -92.96 -92.42 -87.24 41.59 -95.89 -16.06 -65.74 34.20 26.61 -22.05 9.33 -63.73 -15.29 -53.98 -90.55 -1 361.15 -57.21 -133.79 -54.39 -82.02 -8.17 -7.02
Secteur des administrations publiques(net) 84.24 35.50 -449.12 -200.35 -509.29 97.35 80.10 110.40 70.10 113.13 103.24 82.24 104.42 101.21 92.83 94.84 85.32 98.16 82.72 78.53 57.59 28.78 83.68 -6.79 -18.89 -23.92 -8.65 -8.86 20.87 4.72 -5.04 0.81 -11.35 -16.71 -11.77 -4.00 -19.75 -25.32 -22.11 -24.87 -21.67 -26.17 -24.97 -25.01 -23.03 38.52 -29.79 1.93 -21.45 -21.56 0.03 -23.27 -22.15 -23.44 -24.36 -23.86 -20.14 -1 647.01 -4.98 -2.67 -4.97 -1.97 -5.25 -1.97
Décaissements 90.52 46.72 83.63 70.55 48.72 98.72 82.35 111.65 71.57 114.36 105.49 83.29 107.62 102.94 96.59 97.03 90.36 103.55 89.69 91.72 20.16 5.42 28.42 33.22 51.34 32.82 43.06 30.34 8.52 7.78 10.36 20.22 0.54 0.80 1.33 1.17 0.33 0.00 0.00 0.00 0.00 60.00 0.00 22.50 0.00 0.00 30.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Amortissements 6.28 11.22 532.75 270.90 558.01 1.36 2.25 1.25 1.46 1.23 2.25 1.05 3.20 1.74 3.76 2.19 5.05 5.38 6.97 13.19 39.05 29.34 37.07 42.07 -30.47 -28.10 -48.10 -29.54 -19.87 -24.49 -22.13 -24.21 -20.29 -26.12 -23.44 -26.04 -22.00 -26.17 -24.97 -25.01 -23.03 -21.48 -29.79 -20.57 -21.45 -21.56 -29.97 -23.27 -22.15 -23.44 -24.36 -23.86 -20.14 -1 647.01 -4.98 -2.67 -4.97 -1.97 -5.25 -1.97
Autorité Monétaire 300.00 92.99 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 89.95 49.62 -69.18 -0.18 -3.17 19.85 5.73 7.48 -24.49 -0.74 2.94 0.22 0.85 -73.87 0.76 -2.21 2.07 -0.55 -0.72 -0.23 -10.36 -0.69 241.49 -27.99 -153.82 -59.20 -0.74 -0.71 0.88
Secteur Bancaire (net) -128.91 -147.30 14.45 -45.46 -30.66 -39.34 -44.32 31.34 39.21 -64.70 118.40 18.32 -4.84 88.93 4.36 68.12 14.98 -31.72 -10.28 96.47 57.13 -82.70 -21.39 -49.86 -39.02 30.86 -37.29 0.85 -53.28 -85.52 -164.93 37.14 81.89 -5.97 82.32 -6.37 -36.58 -16.36 19.82 -45.89 -1.78 -5.59 -31.25 -37.17 -42.11 -15.13 -54.03 -50.41 -1.71 43.63 3.94 -9.74 17.80 -23.59 28.83 -13.82 -42.88 -32.75 -17.24 -3.23 16.11 -67.18 3.43 -6.40
Secteur non bancaire(net) 6.00 -10.00 -11.00 -37.00 0.00 -1.00 0.00 2.00 1.00 -1.00 1.00 -1.00 -1.00 1.00 -1.00 0.00 38.00 -19.00 26.00 25.00 6.00 -22.00 23.00 -6.00 14.00 -11.00 13.00 -22.00 -8.00 4.00 6.00 33.00 26.00 15.00 29.00 -47.00 -2.00 3.00 -22.00 -5.00 -27.00 23.00 -42.00 5.00 -22.00 18.00 -12.00 32.03 -8.96 9.12 22.88 15.48 14.01 -6.59 -19.46 -6.54 -24.44 78.85 -9.52 21.59 -8.71 -11.17 -1.98 -0.29
Autres avoirs et engagements(nets) 12.32 -45.02 5.38 -13.98 25.29 12.35 -0.67 3.83 -228.55 199.16 -8.76 3.76 -98.69 100.00 -1.68 -4.89 -5.27 2.11 8.56 0.07 -6.85 -1.43 0.67 0.56 40.54 -31.77 -10.42 -2.95 15.14 0.59 -1.12 0.57 -1.86 -3.03 1.22 -0.40 -0.12 3.95 0.36 -4.83 -0.03 7.03 -2.21 -10.75 0.64 -2.74 -0.29 -0.46 40.24 2.24 1.97 -6.59 0.21 -9.38 -0.06 0.61 -2.39 -1.73 2.52 4.34 2.38 -0.97 -3.67 0.75
D. ERREURS ET OMISSIONS NETTES 41.90 -187.58 -64.28 338.11 93.81 0.28 -1.73 -162.64 145.94 14.84 -130.26 -4.52 -41.31 -103.98 -125.51 -184.25 -68.16 6.64 -27.81 44.15 -47.24 109.12 -139.36 -26.24 -41.43 -27.65 122.53 100.31 -15.45 84.46 15.56 -100.84 98.42 -36.79 -125.87 10.99 96.63 38.20 -2.38 -93.53 35.00 -9.24 -40.81 16.21 148.87 109.81 -44.87 -165.92 -219.44 160.60 51.57 130.86 -135.97 247.46 283.23 -74.73 251.46 -52.28 -93.61 83.48 126.52 153.68 -21.56 -48.28
BALANCE GLOBALE (A+B+C+D) 49.66 156.91 284.12 254.35 22.64 55.28 65.98 41.74 -171.52 218.45 151.64 55.43 -174.19 12.93 -173.28 344.20 -48.49 -66.27 -43.61 68.31 -41.45 -50.35 -62.36 -30.81 11.69 -10.50 15.72 31.80 25.47 -66.22 136.96 -72.52 47.39 -46.60 -34.22 -12.43 15.10 -78.05 -106.47 -34.70 76.38 -47.86 19.63 87.70 -113.86 -24.08 -64.04 -23.00 -112.83 -18.24 -34.16 -47.42 89.42 74.16 10.02 -85.54 219.49 270.01 24.60 75.09 192.31 209.62 185.04 130.91
E. FINANCEMENT -49.66 -156.91 -284.12 -254.35 -22.64 -55.28 -65.98 -41.74 171.52 -218.45 -151.64 -55.43 174.19 -12.93 173.28 -344.20 48.49 66.27 43.61 -68.31 41.45 50.35 62.36 30.81 -11.69 10.50 -15.72 -31.80 -25.47 66.22 -136.96 72.52 -47.39 46.60 34.22 12.43 -15.10 78.05 106.47 34.70 -76.38 47.86 -19.63 -87.70 113.86 24.08 64.04 23.00 112.83 18.24 34.16 47.42 -89.42 -74.16 -10.02 85.54 -219.49 -270.01 -24.60 -75.09 -192.31 -209.62 -185.04 -130.91
Avoirs de réserves 1/ -47.11 -260.10 -275.76 -261.92 -24.68 -61.31 -83.25 -40.06 173.47 -236.02 -153.78 -68.25 170.55 -17.85 166.93 -351.99 42.61 61.06 31.52 -55.88 40.77 50.68 51.06 -1.17 -23.38 -15.66 -6.80 -63.64 -92.73 39.57 -190.16 41.73 -71.72 19.77 16.39 -2.87 -36.04 60.34 79.64 18.91 -100.66 27.90 -174.62 -102.53 90.60 4.54 27.85 -214.37 88.74 -2.41 4.23 25.26 -105.99 -210.49 -30.92 61.23 -233.82 158.89 -21.94 -74.89 -192.04 -207.92 -184.09 -130.00
Utilisation des crédits et prêts du FMI -1.79 105.74 -7.09 0.00 -0.20 0.04 13.23 -0.62 -0.43 15.45 -0.83 8.22 -0.17 6.20 0.17 3.59 0.22 0.22 2.54 -2.49 1.04 -2.84 10.97 -0.04 -0.95 -0.05 -0.47 -1.29 38.13 -0.54 0.40 -1.58 -0.38 -1.21 -4.43 -4.62 -1.54 -4.20 -1.02 -5.67 -0.24 -5.03 120.56 -8.94 -3.40 -0.96 2.17 -3.24 -0.47 0.00 -0.21 -2.21 -5.16 109.70 -5.47 -0.22 -5.45 0.00 -7.43 0.00 -5.16 0.00 -5.13 0.00
Autres engagements 2/ 0.28 0.04 -0.20 -0.20 1.34 0.83 0.12 0.91 -0.22 0.02 2.68 1.59 -0.04 -0.10 1.52 0.13 -0.02 1.91 0.00 -1.88 -1.92 -0.89 -0.87 -0.08 -0.16 1.42 0.03 3.75 -0.22 -0.05 -0.05 -0.10 1.83 4.52 0.01 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Variation des Arriérés 4/ 0.90 1.64 5.22 -4.06 0.02 8.74 -2.18 32.16 13.14 22.88 -8.90 29.51 32.00 26.17 48.71 30.66 20.63 21.11 24.74 20.65 21.60 21.93 26.33 23.49 21.67 26.28 26.55 21.45 21.30 20.30 27.05 21.41 23.23 20.60 24.57 24.77 20.45 26.55 25.09 24.45 18.51 -660.60 3.51 -0.28 3.65 -1.77 2.88 -0.99
Allocation de DTS -1.31 -3.88 -3.09 6.07 -1.85 4.15 1.17 -2.98 -2.07 1.09 -2.48 1.93 -0.44 -2.94 0.37 2.36 0.46 0.45 0.02 -4.97 -2.65 -5.44 2.11 -0.06 -1.56 1.81 -0.78 -0.24 -4.04 0.98 2.71 1.72 0.85 2.32 -3.70 -0.83 -0.48 -0.12 0.15 -2.11 1.50 -1.38 5.19 -1.83 1.35 -0.59 1.33 219.20 -0.02 -0.03 -0.15 -0.49 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Remise de dette 0.27 0.59 1.24 0.96 1.97 0.28 1.97 0.27 0.00 0.28 1.41 0.28 2.38 0.27 2.36 0.27 2.38 0.28 2.38 0.27 2.26 0.10 1.26 0.00 1.23 0.09 1.20 0.09 1.38 0.09 1.42 0.10 1.40 0.00 1.22 0.09 1.37 0.10 1.36 0.09 1.35 0.09 2.69 4.16 4.02 0.79 5.64 0.00 1.35 0.09 5.72 0.08 1.27 0.09 1.28 0.09 1.27 231.69 1.26 0.08 1.25 0.08 1.29 0.08
Réechelonnement obtenu 0.00 0.70 0.77 0.74 0.77 0.74 0.77 0.74 0.77 0.74 1.36 0.79 1.92 1.48 1.92 1.44 1.93 0.70 1.93 0.70 1.93 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.10 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Sources : Banque de la République d'Haïti (BRH)
(P) : Données provisoires
1/ Variation des avoirs de réserve bruts
Le signe ( - ) signifie une augmentation
2/ Engagements à court terme envers les Organisations financières internationales
3/ Transferts publics (appellation des anciennes éditions du Manuel de BDP)
Enregistrés maintenant dans la rubrique Transferts courants.
4/ Sans signe = accumulation; ( - ) = remboursement
Dernière mise à jour: le 28 mai 2026