ECONOMIC AND FINANCIAL DATA FOR PERU
Updated daily. Last update November 20, 2009
The data shown in this page correspond to the data described on the International Monetary Fund`s Dissemination Standard Bulletin Board (DSBB). For a fuller explanation of the DSBB and the statistical standards to which Peru has committed,please click on:
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SDDS Data Category and Component Unit Description Date of Latest Data Latest Data Previous Data Change of Latest Data Over a Year Ago(%) Change of Previous Data Over a year Ago(%) More Information
REAL SECTOR
National Accounts              
Gross domestic product (real) Millions of nuevos soles at 1994 prices Q2/09 49 817 45 486 -1,1 1,8 Table N° 94
Private consumption (real) Millions of nuevos soles at 1994 prices Q2/09 35 035 31 822 1,9 3,8 Table N° 94
Public consumption (real) Millions of nuevos soles at 1994 prices Q2/09 4 016 3 630 8,9 8,2 Table N° 94
Gross domestic investment (real) Millions of nuevos soles at 1994 prices Q2/09 10 380 10 310 -27,2 -15,1 Table N° 94
Exports (real) Millions of nuevos soles at 1994 prices Q2/09 8 764 8 759 -3,1 -2,1 Table N° 94
Imports (real) Millions of nuevos soles at 1994 prices Q2/09 8 378 9 035 -24,0 -13,3 Table N° 94
Gross domestic product (nominal) Millions of nuevos soles Q2/09 97 004 89 080 -1,0 1,8 Table N° 95
Private consumption (nominal) Millions of nuevos soles Q2/09 66 280 60 267 5,9 9,6 Table N° 95
Public consumption (nominal) Millions of nuevos soles Q2/09 8 821 7 965 13,2 14,2 Table N° 95
Gross domestic investment (nom.) Millions of nuevos soles Q2/09 19 104 20 385 -27,9 -9,9 Table N° 95
Exports (nominal) Millions of nuevos soles Q2/09 20 867 19 776 -20,8 -20,3 Table N° 95
Imports (nominal) Millions of nuevos soles Q2/09 18 068 19 313 -28,4 -12,0 Table N° 95
Production index              
Production index Index 1994=100 Sep/09 206,6 206,6 0,0 0,2 Table N° 75 181
Labor Market              
Employment Index Oct. 1997=100 Aug/09 149,9 151,3 0,1 -0,1 Table N° 83
Unemployment rate* Percentage of labor force Sep/09 6,8 8,8 n.a. n.a. Table N° 85
Nominal salaries (Urban Peru) Nuevos soles SA2/07 2 859 2 832 1,8 0,0 Table N° 82
Nominal wages (Urban Peru) Nuevos soles SA2/07 1 020 1 004 4,0 -2,1 Table N° 82
Prices            
Consumer price index Dec. 2001 = 100 Oct/09 122,5 122,4 0,7 1,2 Table N° 61
Producer price index 1994=100 Oct/09 187,7 187,4 -6,4 -6,2 Table N° 61
SDDS Data Category and Component Unit Description Date of Latest Data Latest Data Previous Data Change of Latest Data Over a Year Ago(%) Change of Previous Data Over a year Ago(%) More Information
PUBLIC SECTOR
General Government Operations              
I.   Current revenues Millions of nuevos soles Q2/09 18 208 17 301 -15,1 -5,2 Table N° 118
II.  Non-financial expenditures Millions of nuevos soles Q2/09 16 135 14 793 8,5 18,4 Table N° 118
III.  Other 1/ Millions of nuevos soles Q2/09 63 77 14,6 -18,4 Table N° 118
IV. Primary balance (I-II+III) Millions of nuevos soles Q2/09 2 136 2 585 -67,8 -55,8 Table N° 118
V. Interest payments Millions of nuevos soles Q2/09 863 1 538 -17,2 -16,0 Table N° 118
VI. General Government Overall balance (IV-V) Millions of nuevos soles Q2/09 1 273 1 047 -77,2 -73,9 Table N° 118
VII. Non-Financial Public Sector Overall balance (IV-V) Millions of nuevos soles Q2/09 1 198 2 009 -77,2 -50,0 Table N° 116
Net financing Millions of nuevos soles Q2/09 -1 198 -2 009 -77,2 -50,0 Table N° 116
External Millions of nuevos soles Q2/09 -234 2 264 -136,7 -152,5 Table N° 116
Domestic  2/ Millions of nuevos soles Q2/09 -980 -4 275 -83,4 -1 651,7 Table N° 116
Privatization Millions of nuevos soles Q2/09 16 1 776,5 -94,9 Table N° 116
Central Government Operations              
I.  Current revenue Millions of nuevos soles Sep/09 4 728 4 951 -19,3 -10,9 Table N° 86
II. Non-financial expenditure Millions of nuevos soles Sep/09 4 482 4 871 -3,9 -16,2 Table N° 86
III. Capital revenues  3/ Millions of nuevos soles Sep/09 4 5 -64,7 -88,8 Table N° 86
IV. Interest payments Millions of nuevos soles Sep/09 285 898 36,6 -0,6 Table N° 86
V. Overall balance (I-II+III-IV) Millions of nuevos soles Sep/09 -35 -813 -103,6 -27,2 Table N° 86
Net financing Millions of nuevos soles Sep/09 35 813 -103,6 -27,2 Table N° 86
Foreign Millions of nuevos soles Sep/09 30 -2 566 -88,6 1 161,0 Table N° 86
Domestic 2/ Millions of nuevos soles Sep/09 5 3 377 -100,4 155,8 Table N° 86
Privatization Millions of nuevos soles Sep/09 1 2 -55,4 132,3 Table N° 86
Memo:              
Primary balance 4/ Millions of nuevos soles Sep/09 250 84 -79,3 -139,4 Table N° 86
Central Government Debt              
Total gross central government debt  5/ Millions of U.S. dollars Q2/09 31 898 30 957 4,3 -1,3 Table N° 126
Public sector external debt 6/ Millions of U.S. dollars Q2/09 19 935 19 869 6,0 4,4 Table N° 126
Public sector domestic debt 7/ Millions of U.S. dollars Q2/09 11 963 11 087 1,5 -10,0 Table N° 126
SDDS Data Category and Component Unit Description Date of Latest Data Latest Data Previous Data Change of Latest Data Over a Year Ago(%) Change of Previous Data Over a year Ago(%) More Information
FINANCIAL SECTOR
Analytical Accounts of the Banking Sector              
Monetary aggregates  8/ Millions of nuevos soles Oct/15/09 112 107 112 051 1,2 3,4 Table N° 18
Net domestic credit to the public sector 9/ Millions of nuevos soles Oct/15/09 -42 187 -41 706 n.a. n.a. Table N° 18
Domestic credit to the private sector Millions of nuevos soles Oct/15/09 90 455 90 911 4,7 8,6 Table N° 18
Gross foreign assets Millions of U.S. dollars Oct/15/09 34 366 33 461 -2,9 -7,0 Table N° 18
Gross foreign liabilities Millions of U.S. dollars Oct/15/09 1 136 811 -50,3 -67,4 Table N° 18
Analytical Accounts of the Central Bank              
Monetary Base Millions of nuevos soles Nov/15/09 20 966 21 317 -6,6 -12,7 Table N° 19
Net domestic claims on the public sector 10/ Millions of nuevos soles Nov/15/09 -36 137 -35 263 n.a. n.a. Table N° 19
Central Bank rediscounts Millions of nuevos soles Nov/15/09 0 0 n.a. n.a. Table N° 19
Gross foreign assets Millions of U.S. dollars Nov/15/09 33 761 33 161 5,9 5,6 Table N° 19
Gross foreign liabilities Millions of U.S. dollars Nov/15/09 35 34 3,5 1,9 Table N° 19
Interest Rates              
Rediscount rate of Central Bank 11/ Percent per year May/02/02 3,0 10,0 n.a. n.a. BCRP
CDBCRP interest rates  11/              
CDBCRP - 1 day Percent per year Jan/16/08 4,65 4,79 n.a. n.a. BCRP
CDBCRP - 2 days Percent per year Oct/31/07 4,74 n.a. n.a. n.a.  
CDBCRP - 3 days Percent per year Jan/11/08 5,10 4,97 n.a. n.a. BCRP
CDBCRP - 4 days Percent per year Oct/05/07 4,85 4,51 n.a. n.a.  
CDBCRP - 6 days Percent per year Jun/22/05 3,00 n.a. n.a. n.a. BCRP
CDBCRP - 7 days Percent per year Mar/12/07 4,60 4,60 n.a. n.a.  
CDBCRP - 8 days Percent per year Dec/18/06 4,54 2,85 n.a. n.a. BCRP
CDBCRP - 32 days Percent per year Mar/08/07 4,69 n.a. n.a. n.a.  
CDBCRP - 33 days Percent per year Mar/09/07 4,70 4,69 n.a. n.a.  
CDBCRP - 38 days Percent per year Oct/12/04 3,18 n.a. n.a. n.a. BCRP
CDBCRP - 76 days Percent per year Jan/21/04 2,62 n.a. n.a. n.a. BCRP
CDBCRP - 361 days Percent per year Mar/08/07 5,09 n.a. n.a. n.a.  
CDBCRP - 1 week Percent per year Jan/11/08 5,27 5,06 n.a. n.a. BCRP
CDBCRP - 2 weeks Percent per year Mar/21/05 3,27 n.a. n.a. n.a. BCRP
CDBCRP - 4 weeks Percent per year Jul/14/04 2,77 2,58 n.a. n.a. BCRP
CDBCRP - 6 weeks Percent per year Jul/09/02 3,20 13,82 n.a. n.a. BCRP
CDBCRP - 10 weeks Percent per year Jan/28/05 3,57 2,95 n.a. n.a. BCRP
CDBCRP - 12 weeks Percent per year Jan/07/03 3,51 3,63 n.a. n.a. BCRP
CDBCRP - 14 weeks Percent per year Nov/11/02 4,48 3,63 n.a. n.a. BCRP
CDBCRP - 16 weeks Percent per year Aug/27/02 3,60 3,55 n.a. n.a. BCRP
CDBCRP - 18 months Percent per year Feb/08/07 5,40 5,70 n.a. n.a. BCRP
CDBCRP - 20 weeks Percent per year Nov/13/02 4,14 4,00 n.a. n.a. BCRP
CDBCRP - 22 weeks Percent per year Feb/10/03 4,06 n.a. n.a. n.a. BCRP
CDBCRP - 1 month Percent per year Nov/21/07 5,19 5,17 n.a. n.a. BCRP
CDBCRP - 2 months Percent per year Oct/20/05 4,65 4,00 n.a. n.a. BCRP
CDBCRP - 3 months Percent per year Jan/07/08 5,66 5,70 n.a. n.a. BCRP
CDBCRP - 4 months Percent per year Dec/21/07 5,69 5,66 n.a. n.a. BCRP
CDBCRP - 5 months Percent per year May/31/05 3,73 3,75 n.a. n.a. BCRP
CDBCRP - 6 months Percent per year Jan/11/08 5,92 5,84 n.a. n.a. BCRP
CDBCRP - 7 months Percent per year Dec/17/07 5,78 5,91 n.a. n.a. BCRP
CDBCRP - 8 months Percent per year Sep/17/04 3,99 4,26 n.a. n.a. BCRP
CDBCRP - 9 months Percent per year Jan/14/08 6,19 5,94 n.a. n.a. BCRP
CDBCRP - 10 months Percent per year Jan/17/05 4,23 4,07 n.a. n.a. BCRP
CDBCRP - 11 months Percent per year May/28/07 5,04 4,25 n.a. n.a. BCRP
CDBCRP - 13 months Percent per year Jun/17/05 4,34 4,79 n.a. n.a. BCRP
CDBCRP - 14 months Percent per year Oct/12/04 4,84 n.a. n.a. n.a. BCRP
CDBCRP - 15 months Percent per year Jan/16/08 6,42 6,46 n.a. n.a. BCRP
CDBCRP - 16 months Percent per year Feb/21/05 4,85 4,62 n.a. n.a. BCRP
CDBCRP - 17 months Percent per year Jun/09/05 4,50 4,45 n.a. n.a. BCRP
CDBCRP - 18 months Percent per year Jan/14/08 6,44 6,37 n.a. n.a. BCRP
CDBCRP - 20 months Percent per year Feb/09/05 5,09 4,10 n.a. n.a. BCRP
CDBCRP - 21 months Percent per year Aug/18/03 4,05 n.a. n.a. n.a. BCRP
CDBCRP - 1 year Percent per year Jan/14/08 6,32 3,00 n.a. n.a. BCRP
CDBCRP - 1,5 year Percent per year Aug/16/05 5,66 4,48 n.a. n.a. BCRP
CDBCRP - 2 year Percent per year Dec/14/07 6,10 5,48 n.a. n.a. BCRP
CDBCRP - 3 year Percent per year Jun/14/07 5,59 5,58 n.a. n.a. BCRP
CDR BCRP interest rates              
CDR BCRP - 46 days Percent per year Jan/22/04 2,62 n.a. n.a. n.a. BCRP
CDR BCRP - 3 months Percent per year Aug/16/07 5,56 n.a. n.a. n.a. BCRP
CDR BCRP - 111 days Percent per year Jan/20/04 2,85 n.a. n.a. n.a. BCRP
CDR BCRP - 180 days Percent per year Sep/04/02 2,64 0,00 n.a. n.a. BCRP
CDR BCRP - 6 months Percent per year Feb/27/09 2,23 4,60 n.a. n.a. BCRP
CDR BCRP - 360 days Percent per year Mar/09/07 5,09 4,67 n.a. n.a. BCRP
CDR BCRP - 1 year Percent per year Dec/29/05 4,69 4,74 n.a. n.a. BCRP
Domestic Currency Lending Rate (TAMN) Percent per year Nov/19/09 19,76 19,84 n.a. n.a. Table N° 32
SBS
Foreign Currency Lending Rate (TAMEX) Percent per year Nov/19/09 8,69 8,68 n.a. n.a. Table N° 33
SBS
Average Rate for Deposits in Domestic Currency (TIPMN) Percent per year Nov/19/09 1,67 1,66 n.a. n.a. Table N° 32
SBS
Average Rate for Deposits in Foreign Currency (TIPMEX) Percent per year Nov/19/09 1,02 1,03 n.a. n.a. Table N° 33
SBS
Stock Market              
General stock price index 12/ Index,  Dec. 1991=100 Nov/20/09 14 557,7 14 575,0 n.a. n.a. Table N° 50
BVL
Trade value Millions of nuevos soles Nov/20/09 838,0 796,3 n.a. n.a. Table N° 50
BVL
SDDS Data Category and Component Unit Description Date of Latest Data Latest Data Previous Data Change of Latest Data Over a Year Ago(%) Change of Previous Data Over a year Ago(%) More Information
EXTERNAL SECTOR
Balance of Payments              
 Imports of goods and services Millions of U.S. dollars Q2/09 -4 825 -4 882 36,1 22,1 Table N° 97
 Exports of goods and services Millions of U.S. dollars Q2/09 5 382 6 054 -30,7 -28,5 Table N° 97
 Investment income Millions of U.S. dollars Q2/09 -1 594 -1 242 n.a. n.a. Table N° 97  
 Current transfers Millions of U.S. dollars Q2/09 652 622 n.a. n.a. Table N° 97  
 BCRP international reserves flow Millions of U.S. dollars Q2/09 -314 -22 n.a. n.a. Table N° 97  
 Financial Account Millions of U.S. dollars Q2/09 -857 449 n.a. n.a. Table N° 97  
International Reserves and Foreign Currency Liquidity                
 Net International Reserves Millions of U.S. dollars Sep/09 32 130 31 955 -7,4 -8,5 Table N° 25  
Data Template on International Reserves and International Liquidity Millions of U.S. Dollars Nov/15/09 33 417 32 801 7,3 7,0 Data Template International reserves and foreign currency liquidity  
Merchandise trade                
Total exports Millions of U.S. dollars Sep/09 2 408 2 317 -12,5 -22,0 Table N° 65  
Total imports Millions of U.S. dollars Sep/09 1 842 1 735 -32,9 -29,7 Table N° 65  
International Investment Position                
I. Assets Millions of U.S. dollars Q2/09 48 657 46 215 -10,0 -11,8 Table N° 109  
   1. Direct investment Millions of U.S. dollars Q2/09 1 880 1 624 -23,8 -26,2  
   2. Portfolio investment Millions of U.S. dollars Q2/09 12 634 10 722 4,0 -9,0  
       stock market and ADR's Millions of U.S. dollars Q2/09 11 290 9 448 5,5 -8,5  
       bonds Millions of U.S. dollars Q2/09 1 344 1 274 -7,0 -12,7  
  3. Other investments Millions of U.S. dollars Q2/09 3 320 2 909 -14,9 -39,3  
  4. Reserve assets Millions of U.S. dollars Q2/09 30 822 30 961 -13,3 -7,9 Table N° 109
II. Liabilities Millions of U.S. dollars Q2/09 80 689 76 208 -7,9 -13,2 Table N° 109
   1. Direct investment Millions of U.S. dollars Q2/09 33 207 31 443 6,0 6,5 Table N° 109
   2. Portfolio investment Millions of U.S. dollars Q2/09 21 657 18 900 -25,5 -41,4  
       stock market and ADR's Millions of U.S. dollars Q2/09 13 373 10 571 -32,3 -52,4  
       bonds Millions of U.S. dollars Q2/09 8 284 8 330 -11,1 -17,3  
  3. Other investments Millions of U.S. dollars Q2/09 25 825 25 865 -5,0 -0,4  
III. Net international investment position Millions of U.S. dollars Q2/09 -32 032 -29 993 n.a. n.a.  
External Debt              
Gross External Debt Millions of U.S. dollars Q2/09 34 194 34 104 -6,6 -5,1  
   I.  General Government Millions of U.S. dollars Q2/09 19 337 19 399 5,6 3,7  
      Short-Term Millions of U.S. dollars Q2/09          
            Money-market instruments Millions of U.S. dollars Q2/09          
            Loans Millions of U.S. dollars Q2/09          
            Commercial loans Millions of U.S. dollars Q2/09          
            Other Liabilities  13/ Millions of U.S. dollars Q2/09          
            Arrears Millions of U.S. dollars Q2/09          
            Others Millions of U.S. dollars Q2/09          
      Long-Term Millions of U.S. dollars Q2/09 19 337 19 399 5,6 3,7  
            Bonds and Notes Millions of U.S. dollars Q2/09 7 837 7 889 12,7 11,9  
            Loans Millions of U.S. dollars Q2/09 11 499 11 510 1,2 -1,3  
            Commercial loans Millions of U.S. dollars Q2/09          
            Other Liabilities Millions of U.S. dollars Q2/09          
   II.  Monetary Authorities Millions of U.S. dollars Q2/09 197 100 -95,0 -92,9  
      Short-Term Millions of U.S. dollars Q2/09 197 100 -95,0 -92,9  
            Money-market instruments Millions of U.S. dollars Q2/09 166 68 -97 -94  
            Loans Millions of U.S. dollars Q2/09 31 32 4,5 2,5  
            Currency and deposits  14/ Millions of U.S. dollars Q2/09          
            Other Liabilities Millions of U.S. dollars Q2/09          
            Arrears Millions of U.S. dollars Q2/09          
            Others Millions of U.S. dollars Q2/09          
      Long-Term Millions of U.S. dollars Q2/09          
            Bonds and Notes Millions of U.S. dollars Q2/09          
            Loans Millions of U.S. dollars Q2/09          
            Currency and deposits  14/ Millions of U.S. dollars Q2/09          
            Other Liabilities Millions of U.S. dollars Q2/09          
   III.  Banks Millions of U.S. dollars Q2/09 5 124 4 838 -26,3 -16,5  
      Short-Term Millions of U.S. dollars Q2/09 1 307 1 041 -67,4 -61,3  
            Money-market instruments Millions of U.S. dollars Q2/09          
            Loans Millions of U.S. dollars Q2/09 1 307 1 041 -67,4 -61,3  
            Currency and deposits  14/ Millions of U.S. dollars Q2/09          
            Other Liabilities Millions of U.S. dollars Q2/09          
            Arrears Millions of U.S. dollars Q2/09          
            Others Millions of U.S. dollars Q2/09          
      Long-Term Millions of U.S. dollars Q2/09 3 817 3 797 12,4 38,1  
            Bonds and Notes Millions of U.S. dollars Q2/09          
            Loans Millions of U.S. dollars Q2/09 3 817 3 797 12,4 38,1  
            Currency and deposits  14/ Millions of U.S. dollars Q2/09          
            Other Liabilities Millions of U.S. dollars Q2/09          
   IV.  Other Sectors Millions of U.S. dollars Q2/09 9 537 9 767 2,2 12,6  
      Short-Term Millions of U.S. dollars Q2/09 3 107 3 029 -33,9 -16,9  
            Money-market instruments Millions of U.S. dollars Q2/09          
            Loans Millions of U.S. dollars Q2/09 3 107 3 029 -33,9 -16,9  
            Currency and deposits  14/ Millions of U.S. dollars Q2/09          
            Commercial loans Millions of U.S. dollars Q2/09          
            Other Liabilities Millions of U.S. dollars Q2/09          
            Arrears Millions of U.S. dollars Q2/09          
            Others Millions of U.S. dollars Q2/09          
      Long-Term Millions of U.S. dollars Q2/09 6 429 6 739 35,5 36,0  
            Bonds and Notes Millions of U.S. dollars Q2/09 327 327 0,0 0,0  
            Loans Millions of U.S. dollars Q2/09 6 103 6 412 38,0 38,6  
           Currency and deposits  14/ Millions of U.S. dollars Q2/09          
           Commercial loans Millions of U.S. dollars Q2/09          
           Other Liabilities Millions of U.S. dollars Q2/09          
           Commercial loans Millions of U.S. dollars Q2/09          
           Other Liabilities Millions of U.S. dollars Q2/09          
Exchange rates            
Exchange rate (nominal) 12/ Soles per U.S. dollars Nov/19/09 2,874 2,865 -7,06 -7,35 Table N° 52
SDDS Data Category and Component Unit Description Date of Latest Data Latest Data Previous Data Change of Latest Data Over a Year Ago(%) Change of Previous Data Over a year Ago(%) More Information
Socio-demographic Data
Population Thousands 2003 27 148 26 749 1,5 1,5 Annual Report - Annex 2
 
* Since Jan/07, unemployment rate is reported as a monthly three-month moving average. For may, it includes Mar/07, Apr/07 and May07.
1/ Excludes payments to the American International Group (AIG) and the Germany-Peru Agreement.
2/ Approximately 99 percent of domestic financing comes from banking institutions.
3/ Excludes privatization receipts and includes capital grants.
4/ Primary balance is defined as the overall balance excluding interest expenditures.
5/ Although data on total outstanding debt are not disseminated, the metadata on the DSBB explain how to derive this figure.
6/ Split by maturity is not shown because medium and long term public external debt accounts for more than 99 percent of total public external debt.
7/ This data is consistent with those of the Ministry of Economy and Finance.
8/ Includes all monetary liabilities of the banking system in domestic and foreign currency.
9/ Credit minus deposits to the non-financial public sector and COFIDE.
10/ Credit minus deposits.              
11/ It is reported the interest rates of the latest operations of the Central Bank.
12/ End of period.              
13/ International Investment Position accounted "other debt liabilities" as "other liabilities".  
14/ It is recommended to include the total of "currency and deposits" in the short run unless it is available detailed information as to clasified them in short or long run.
15/ Exchange rate published by the superintendency of banking and insurance with one day lag.
n.a. Not applicable.              
16/ Not published yet due to mechanical effects