Domestic Markets & Monetary Management Department
LIQUID FOREIGN EXCHANGE RESERVES
(MILLION US$)
NET RESERVES WITH NET RESERVES WITH TOTAL LIQUID
END PERIOD
SBP BANKS FX RESERVES
2015-16 18,142.6 4,955.9 23,098.5
2016-17 16,144.8 5,258.1 21,402.9
2017-18 9,765.2 6,618.4 16,383.6
2018-19 7,285.2 7,196.4 14,481.6
2019-20R 12,132.0 6,754.4 18,886.4
MONTH-END LEVELS1/
February, 20R 12,757.7 6,123.3 18,881.0
March, 20 10,844.8 6,252.9 17,097.7
April, 20 12,329.4 6,409.1 18,738.5
May, 20 10,362.1 6,580.8 16,942.9
June, 20R 12,132.0 6,754.4 18,886.4
July, 20R 12,542.3 7,056.4 19,598.7
R
August, 20 12,738.2 7,169.2 19,907.4
R
September, 20 12,153.7 7,231.2 19,384.9
R
October, 20 12,182.6 7,217.1 19,399.7
R
November, 20 13,112.1 7,154.5 20,266.6
R
December, 20 13,415.4 7,096.1 20,511.5
January, 21 13,031.2 7,117.7 20,148.9
February, 21 12,975.0 7,129.8 20,104.8
WEEK-END LEVELS1/
5-Mar-21 13,016.1 7,141.8 20,157.9
12-Mar-21 13,019.7 7,139.4 20,159.1
19-Mar-21 13,295.0 7,139.6 20,434.6
1/
Provisional
2/
5February2021 being public holiday
Contact Details:
Adeel Imtiaz Sheikh
Joint Director
Phone +9221-3245-3487