Other investment, Debt instruments, Other sectors (Assets, Positions) in Malaysia

Malaysia: Other investment, Debt instruments, Other sectors (Assets, Positions) was 8.21 % change on previous year in 2025. ◆ Volatile

Latest (2025)
8.21 % change on previous year
Change on year
up 334.9%
World rank
82nd
of 161 countries
All-time high
214.49 % change on previous year
in 1984
All-time low
-53.24 % change on previous year
in 1983
Years of data
13
1982–2025

Other investment, Debt instruments, Other sectors (Assets, Positions) in Malaysia, 1982–2025

-10001002001982200320251982: -50.8 % change on previous year1983: -53.2 % change on previous year1984: 214.5 % change on previous year1985: -25.2 % change on previous year1986: 95.1 % change on previous year1987: -19.4 % change on previous year2019: -2.4 % change on previous year2020: -0.67 % change on previous year2021: 12.9 % change on previous year2022: 1.4 % change on previous year2023: -7.9 % change on previous year2024: -3.5 % change on previous year2025: 8.2 % change on previous year

Source: Statizoid (derived). Measured in % change on previous year.

Analysis

Malaysia recorded 8.21 % change on previous year for other investment, debt instruments, other sectors (assets, positions) in 2025.

The figure is up 334.9% on the previous year and up 441.6% over ten years.

Over the whole period, other investment, debt instruments, other sectors (assets, positions) in Malaysia peaked at 214.49 % change on previous year in 1984 and was at its lowest, -53.24 % change on previous year, in 1983.

That places Malaysia 82nd out of 161 countries with data for 2025, putting it in the middle of the range.

The series is highly variable year to year, so single readings are best treated with caution.

Other investment, Debt instruments, Other sectors (Assets, Positions) in Malaysia, year by year

Annual values for Other investment, Debt instruments, Other sectors (Assets, Positions, US dollar), annual growth rate in Malaysia, 1982 to 2025.
Year % change on previous year Change
1982 -50.79 % change on previous year
1983 -53.24 % change on previous year +4.8%
1984 214.49 % change on previous year -502.9%
1985 -25.2 % change on previous year -111.7%
1986 95.14 % change on previous year -477.6%
1987 -19.41 % change on previous year -120.4%
2019 -2.4 % change on previous year -87.6%
2020 -0.6701 % change on previous year -72.1%
2021 12.92 % change on previous year -2027.4%
2022 1.36 % change on previous year -89.4%
2023 -7.9 % change on previous year -679.5%
2024 -3.49 % change on previous year -55.8%
2025 8.21 % change on previous year -334.9%

Averages by decade

DecadeAverage LowestHighest Years
1980s 26.83 % change on previous year -53.24 % change on previous year 214.49 % change on previous year 6
2010s -2.4 % change on previous year -2.4 % change on previous year -2.4 % change on previous year 1
2020s 1.74 % change on previous year -7.9 % change on previous year 12.92 % change on previous year 6

Countries ranked near Malaysia

  1. 79 Canada 8.69 % change on previous year compare
  2. 80 Kiribati 8.52 % change on previous year compare
  3. 81 Hong Kong, China 8.42 % change on previous year compare
  4. 83 Haiti 8.14 % change on previous year compare
  5. 84 Malta 8.06 % change on previous year compare
  6. 85 Bulgaria 7.58 % change on previous year compare

See the full ranking of 164 places →

More external debt data for Malaysia

All data for Malaysia →

Frequently asked questions

What is other investment, debt instruments, other sectors (assets, positions) in Malaysia?
Other investment, debt instruments, other sectors (assets, positions) in Malaysia was 8.21 % change on previous year in 2025, according to Statizoid (derived).
What is the highest other investment, debt instruments, other sectors (assets, positions) recorded in Malaysia?
The highest recorded value was 214.49 % change on previous year in 1984.
What is the lowest other investment, debt instruments, other sectors (assets, positions) recorded in Malaysia?
The lowest recorded value was -53.24 % change on previous year in 1983.
How does Malaysia rank for other investment, debt instruments, other sectors (assets, positions)?
Malaysia ranks 82nd out of 161 countries with data for 2025.
Is other investment, debt instruments, other sectors (assets, positions) rising or falling in Malaysia?
Over the last ten years it is up 441.6%. The long-run trend across the full record is volatile.
Where does this Malaysia data come from?
The figures come from Statizoid (derived), published as part of Other investment, Debt instruments, Other sectors (Assets, Positions, US dollar), annual growth rate. Statizoid updates them automatically from the source API.

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Other investment, Debt instruments, Other sectors (Assets, Positions) in Malaysia. Statizoid, drawing on Statizoid (derived). Retrieved 04 September 2026, from https://debt.statizoid.com/stat/other-investment-debt-instruments-other-sectors-assets-positions-us-dollar-annual-growth/malaysia/

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<a href="https://debt.statizoid.com/stat/other-investment-debt-instruments-other-sectors-assets-positions-us-dollar-annual-growth/malaysia/">Other investment, Debt instruments, Other sectors (Assets, Positions) in Malaysia</a> — Statizoid

How this figure is calculated

The year-on-year percentage change in Other investment, Debt instruments, Other sectors (Assets, Positions, US dollar). Computed from consecutive annual observations; years either side of a gap are skipped rather than bridged.

Computed from

Statizoid computes this series; the underlying measurements belong to the publishers named above. The arithmetic is applied to every country and year where both inputs report, and nothing is estimated unless the page says so.

About this data

Indicator
Other investment, Debt instruments, Other sectors (Assets, Positions, US dollar), annual growth rate
Unit
% change on previous year
Source
Statizoid (derived)
Licence
Derived by Statizoid from the sources named on the page
Coverage
164 places, 3,805 data points, 1949–2025
Last refreshed

The year-on-year percentage change in Other investment, Debt instruments, Other sectors (Assets, Positions, US dollar). Computed from consecutive annual observations; years either side of a gap are skipped rather than bridged.