External Debt in Malaysia 75 indicators covering external debt for Malaysia. IndicatorLatest Year10-yr change Rank Financial derivatives (other than reserves) and employee stock -653.20 million 2024 down 321.3% 148th Liabilities, Broad Money, Liabilities to Depository corporations 4.6 2025 up 51.1% 119th Portfolio investment, Debt securities, Other Sectors (BPM6) 21.50 billion US dollar 2025 up 72.5% 30th Net official development assistance received -38.08 million current US$ 2018 down 124.4% 165th Other investment, Debt instruments, General government 0 US dollar 2025 down 100.0% 99th Other investment, Debt instruments, Central bank 0 US dollar 2025 — 89th Direct investor in direct invesment enterprises, Debt instruments 45.97 billion US dollar 2025 down 2.9% 21st Financial derivatives (other than reserves) and employee stock -1.44 billion 2024 down 590.7% 122nd Contingent short-term net drains on foreign currency assets (nominal) -417.03 million 2025 down 357.3% 36th Contingent short-term net drains on foreign currency assets (nominal) -198.56 million 2025 down 1,807.4% 43rd Contingent short-term net drains on foreign currency assets (nominal) -206.90 million 2025 down 262.6% 45th Contingent short-term net drains on foreign currency assets (nominal) -11.58 million 2025 up 51.2% 42nd Contingent short-term net drains on foreign currency assets (nominal) -417.03 million 2025 down 357.3% 42nd Securities Other Than Shares, Liabilities of Central Bank: Securities 0 2008 down 100.0% 17th Liabilities to Other Financial Corporations 10.70 billion 2008 down 57.4% 25th ← Previous Page 2 of 2