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
2019-20R 12,132.0 6,754.4 18,886.4
2020-21R 17,298.6 7,099.0 24,397.6
2021-22R 9,814.7 5,635.2 15,449.9
2022-23 4,445.1 4,714.9 9,160.0
2023-24R 9,389.6 4,606.7 13,996.3
2024-25P 14,506.4 4,763.4 19,269.8
MONTH-END LEVELS1/
Jun 24 R 9,389.6 4,606.7 13,996.3
Jul 24 R 9,220.9 4,745.8 13,966.7
Aug 24 R 9,436.9 4,737.3 14,174.2
Sep 24 R 10,736.9 4,664.3 15,401.2
Oct 24 R 11,203.3 4,264.4 15,467.7
Nov 24 R 12,037.9 4,090.6 16,128.5
Dec 24 R 11,731.7 4,195.7 15,927.4
Jan 25 R 11,418.2 4,180.5 15,598.7
Feb 25 R 11,249.5 4,147.8 15,397.3
Mar 25 10,638.9 4,375.1 15,014.0
Apr 25 10,275.0 4,484.4 14,759.4
May 25 11,516.9 4,559.6 16,076.5
Jun 25 14,506.4 4,763.4 19,269.8
WEEK-END LEVELS1/
4-Jul-25 14,502.2 5,526.5 20,028.7
11-Jul-25 14,525.6 5,431.5 19,957.1
18-Jul-25 14,456.6 5,460.9 19,917.5
1/
Provisonal
R
Revised
Contact Details:
Adeel Imtiaz Sheikh
Senior Joint Director
Phone +9221-3245-3487