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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

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
R
2020-21 17,298.6 7,099.0 24,397.6
2021-22 9,816.3 5,720.2 15,536.5

MONTH-END LEVELS1/

September, 21R 19,253.5 6,729.6 25,983.1


October, 21 17,199.6 6,629.7 23,829.3
November, 21 15,966.3 6,363.1 22,329.4
December, 21 17,686.0 6,196.6 23,882.6
January, 22 16,607.8 6,228.1 22,835.9
February, 22 16,386.2 6,251.6 22,637.8
March, 22 11,425.1 6,001.3 17,426.4
April, 22 10,498.9 5,907.1 16,406.0
May, 22 9,396.9 5,821.8 15,218.7
June, 22 9,816.3 5,720.2 15,536.5
July, 22 8,385.4 5,638.7 14,024.1
August, 22 8,834.3 5,512.6 14,346.9
September, 22 7,878.5 5,432.4 13,310.9

WEEK-END LEVELS1/

07-Oct-22 7,596.9 5,649.9 13,246.8


14-Oct-22 7,597.2 5,653.7 13,250.9
21-Oct-22 7,439.9 5,722.3 13,162.2

1/
Provisional

Contact Details:
Adeel Imtiaz Sheikh
Senior Joint Director
Phone +9221-3245-3487

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