You are on page 1of 1

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
R
2021-22 9,816.3 5,635.2 15,451.5

MONTH-END LEVELS1/

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, 22R 9,396.9 5,736.8 15,133.7
R
June, 22 9,816.3 5,635.2 15,451.5
R
July, 22 8,385.4 5,553.7 13,939.1
R
August, 22 8,834.3 5,427.6 14,261.9
September, 22 7,878.5 5,432.4 13,310.9
October, 22R 8,759.8 5,231.6 13,991.4
November, 22 7,722.3 5,304.6 13,026.9

WEEK-END LEVELS1/

2-Dec-22 6,714.9 5,866.8 12,581.7


9-Dec-22 6,700.0 5,870.2 12,570.2
16-Dec-22 6,116.2 5,883.9 12,000.1
23-Dec-22 5,821.9 5,885.3 11,707.2
30-Dec-22 5,576.5 5,846.0 11,422.5

1/
Provisional
R
Revised
Contact Details:
Adeel Imtiaz Sheikh
Senior Joint Director
Phone +9221-3245-3487

You might also like