Portfolio investment, Debt securities, Other Sectors (BPM6) in Malaysia

Malaysia: Portfolio investment, Debt securities, Other Sectors (BPM6) was 21.50 billion US dollar in 2025. ▲ Rising

Latest (2025)
21.50 billion US dollar
Change on year
up 12.6%
World rank
30th
of 146 countries
All-time high
21.50 billion US dollar
in 2025
All-time low
12.46 billion US dollar
in 2018
Years of data
8
2018–2025

Portfolio investment, Debt securities, Other Sectors (BPM6) in Malaysia, 2018–2025

05.0B10.0B15.0B20.0B2018202120252018: 12.5B US dollar2019: 15.2B US dollar2020: 17.3B US dollar2021: 15.6B US dollar2022: 15.6B US dollar2023: 17.9B US dollar2024: 19.1B US dollar2025: 21.5B US dollar

Source: International Monetary Fund. Measured in US dollar.

Analysis

In 2025, portfolio investment, debt securities, other sectors (bpm6) in Malaysia stood at 21.50 billion US dollar. That is the highest value across all 8 years on record.

That represents a change of up 12.6% on the previous year and up 72.5% over ten years.

Malaysia ranks 30th of 146 countries on this measure, in the top quarter.

Portfolio investment, Debt securities, Other Sectors (BPM6) in Malaysia, year by year

Annual values for Portfolio investment, Debt securities, Other Sectors (BPM6) (Assets, Positions, US dollar) in Malaysia, 2018 to 2025.
Year US dollar Change
2018 12.46 billion US dollar
2019 15.17 billion US dollar +21.7%
2020 17.35 billion US dollar +14.3%
2021 15.56 billion US dollar -10.3%
2022 15.62 billion US dollar +0.4%
2023 17.87 billion US dollar +14.4%
2024 19.09 billion US dollar +6.8%
2025 21.50 billion US dollar +12.6%

Averages by decade

DecadeAverage LowestHighest Years
2010s 13.82 billion US dollar 12.46 billion US dollar 15.17 billion US dollar 2
2020s 17.83 billion US dollar 15.56 billion US dollar 21.50 billion US dollar 6

Countries ranked near Malaysia

  1. 27 Greece 26.96 billion US dollar compare
  2. 28 Chile 22.58 billion US dollar compare
  3. 29 Kazakhstan 22.04 billion US dollar compare
  4. 31 Indonesia 19.64 billion US dollar compare
  5. 32 Poland 19.29 billion US dollar compare
  6. 33 Bahrain 18.62 billion US dollar compare

See the full ranking of 149 places →

More external debt data for Malaysia

All data for Malaysia →

Frequently asked questions

What is portfolio investment, debt securities, other sectors (bpm6) in Malaysia?
Portfolio investment, debt securities, other sectors (bpm6) in Malaysia was 21.50 billion US dollar in 2025, according to International Monetary Fund.
What is the highest portfolio investment, debt securities, other sectors (bpm6) recorded in Malaysia?
The highest recorded value was 21.50 billion US dollar in 2025.
What is the lowest portfolio investment, debt securities, other sectors (bpm6) recorded in Malaysia?
The lowest recorded value was 12.46 billion US dollar in 2018.
How does Malaysia rank for portfolio investment, debt securities, other sectors (bpm6)?
Malaysia ranks 30th out of 146 countries with data for 2025.
Is portfolio investment, debt securities, other sectors (bpm6) rising or falling in Malaysia?
Over the last ten years it is up 72.5%. The long-run trend across the full record is rising.
Where does this Malaysia data come from?
The figures come from International Monetary Fund, published as part of Portfolio investment, Debt securities, Other Sectors (BPM6) (Assets, Positions, US dollar). Statizoid updates them automatically from the source API.

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Portfolio investment, Debt securities, Other Sectors (BPM6) in Malaysia. Statizoid, drawing on International Monetary Fund. Retrieved 03 September 2026, from https://debt.statizoid.com/stat/portfolio-investment-debt-securities-other-sectors-bpm6-assets-positions-us-dollar/malaysia/

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About this data

Indicator
Portfolio investment, Debt securities, Other Sectors (BPM6) (Assets, Positions, US dollar)
Unit
US dollar
Source
International Monetary Fund
Licence
IMF Terms and Conditions (attribution required)
Coverage
149 places, 3,206 data points, 1948–2025
Last refreshed

The International Investment Position (IIP) is a statistical statement that shows at a point in time the value of financial assets of residents of an economy that are claims on nonresidents or are gold bullion held as reserve assets; and the liabilities of residents of an economy to nonresidents.