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PDF - India’s International Investment Position (IIP), December 2025 ()
Date : Mar 30, 2026
India’s International Investment Position (IIP), December 2025

Today, the Reserve Bank released data relating to India’s International Investment Position for end-December 2025[1].

Key Features of India’s IIP in end-December 2025:

  • Net claims of non-residents on India declined by US$ 10.9 billion from end-September 2025 and stood at US$ 260.5 billion as at end-December 2025, driven by relatively higher rise in Indian residents’ overseas financial assets (US$ 12.8 billion) as compared to increase in the foreign-owned assets in India (US$ 1.9 billion) (Table 1).

  • Accordingly, the ratio of India’s international assets to international liabilities continued to improve to 82.1 per cent as at end-December 2025 from 81.4 per cent in the previous quarter and 74.6 per cent a year ago (Chart 1 & Table 1).

  • Indian residents’ overseas financial assets increased during the quarter, primarily led by rise in outward direct investments (US$ 7.6 billion) and currency and deposits (US$ 9.4 billion).

  • Reserve assets, accounting for 57.4 per cent share in the total overseas financial assets of Indian residents, declined by US$ 12.4 billion from the previous quarter and stood at US$ 687.7 billion as at end-December 2025. However, on annual basis, it rose by 8.2 per cent (Table 2).

  • On liability side, decline in inward direct investment (US$ 3.2 billion) and portfolio investment (US$ 2.8 billion) was offset by increase in trade credit (US$ 11.4 billion) under other investment, resulted in marginal sequential increase (0.1 per cent) in foreign-owned assets in India as on end-December 2025.

  • With the decline in equity investment along with the rise in debt investment, the share of debt liabilities in total external liabilities increased to 55.3 per cent as at end-December 2025 from 54.8 per cent a quarter ago (Table 3).

(Brij Raj)          
Chief General Manager

Press Release: 2025-2026/2353


Chart 1

Table 1: Overall International Investment Position of India
(US$ billion)
Period Position as at end of
Dec-24 (PR) Mar-25 (PR) Jun-25 (PR) Sep-25 (PR) Dec-25 (P)
Net IIP (A-B) -363.9 -329.1 -312.6 -271.4 -260.5
A. Assets 1070.8 1134.0 1177.1 1185.2 1198.0
1. Direct Investment 260.8 270.5 279.5 288.9 296.5
1.1 Equity and investment fund shares 166.5 173.6 179.7 187.2 193.1
1.2 Debt instruments 94.3 96.9 99.8 101.7 103.4
2. Portfolio Investment 12.0 15.4 16.3 16.6 16.5
2.1 Equity and investment fund shares 9.2 10.3 13.1 12.5 10.1
2.2 Debt securities 2.8 5.1 3.2 4.1 6.4
3. Other Investment 162.3 179.8 183.2 179.6 197.3
3.1 Trade Credits 33.3 33.7 33.7 31.9 34.5
3.2 Loans 23.4 27.1 25.6 25.8 26.8
3.3 Currency and Deposits 69.6 80.4 83.6 80.8 90.2
3.4 Other Assets 36.0 38.6 40.3 41.1 45.8
4. Reserve Assets 635.7 668.3 698.1 700.1 687.7
B. Liabilities 1434.7 1463.1 1489.7 1456.6 1458.5
1. Direct Investment 547.2 557.0 571.2 562.2 559.0
1.1 Equity and investment fund shares 513.0 522.0 535.4 525.8 522.2
1.2 Debt instruments 34.2 35.0 35.8 36.4 36.8
2. Portfolio Investment 276.5 272.0 272.5 258.7 255.9
2.1 Equity and investment fund shares 155.6 141.9 147.4 133.0 130.1
2.2 Debt securities 120.9 130.1 125.1 125.7 125.8
3. Other Investment 611.0 634.1 646.0 635.7 643.6
3.1 Trade Credits 135.6 131.2 131.1 135.0 146.4
3.2 Loans 240.6 250.5 260.3 258.5 259.9
3.3 Currency and Deposits 165.7 167.6 171.7 168.9 173.9
3.4 Other Liabilities 47.5 62.8 60.2 50.6 40.7
3.5 Special drawing rights (Net incurrence of liabilities) 21.6 22.0 22.7 22.7 22.7
Memo Item: Assets to Liability ratio (%) 74.6 77.5 79.0 81.4 82.1
Notes (applicable for all tables):
1. P: Provisional; PR: Partially Revised.
2. The sum of the constituent items may not add to the total due to rounding off.

Table 2: Composition of International Financial Assets and Liabilities of India
(per cent)
Period Position as at end of
Dec-24 (PR) Mar-25 (PR) Jun-25 (PR Sep-25 (PR) Dec-25 (P)
A. Assets
    1. Direct Investment 24.4 23.8 23.7 24.4 24.7
    2. Portfolio Investment 1.1 1.4 1.4 1.4 1.4
    3. Other Investment 15.1 15.9 15.6 15.1 16.5
    4. Reserve Assets 59.4 58.9 59.3 59.1 57.4
Total 100.0 100.0 100.0 100.0 100.0
B. Liabilities
    1. Direct Investment 38.1 38.1 38.3 38.6 38.3
    2. Portfolio Investment 19.3 18.6 18.3 17.8 17.6
    3. Other Investment 42.6 43.3 43.4 43.6 44.1
Total 100.0 100.0 100.0 100.0 100.0

Table 3: Share of External Debt and Non-Debt Liabilities of India
(per cent)
Period Position as at end of
Dec-24 (PR) Mar-25 (PR) Jun-25 (PR) Sep-25 (PR) Dep-25 (P)
Non-Debt Liabilities 46.6 45.4 45.8 45.2 44.7
Debt Liabilities 53.4 54.6 54.2 54.8 55.3
Total 100.0 100.0 100.0 100.0 100.0

[1] India’s quarterly IIP is disseminated with a lag of one quarter and the previous quarterly IIP for end-September 2025 was released in the RBI website on December 31, 2025.


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