| Money Supply |
| /TT$ Millions/ |
| | | | | | | |
| Period Ending | Currency in Active Circulation | Demand Deposits (adj) | Savings Deposits (adj) | Time Deposits (adj) | Foreign Currency Deposits* (adj) | Narrow Money (M1-A) | Broad Money (M2) |
|
| | | | | | | |
| 2015 | 7,649.8 | 36,604.2 | 31,886.9 | 9,729.6 | 22,249.7 | 44,254.0 | 85,870.5 |
| 2016 | 7,846.6 | 37,537.2 | 32,630.2 | 10,622.2 | 23,866.3 | 45,383.8 | 88,636.2 |
| 2017 | 8,104.1 | 35,908.7 | 32,578.3 | 10,163.5 | 23,986.1 | 44,012.7 | 86,754.6 |
| 2018 | 7941.1r | 37,035.6 | 34,218.0 | 10,231.1 | 24,416.5 | 44,976.7 | 89,425.7 |
| 2019 | 4,782.3 | 38,254.4 | 34,967.6 | 11,470.9 | 24,223.6 | 43,036.7 | 89,475.2 |
| 2020 | 7,318.1 | 44,786.6 | 36,783.6 | 10,341.6 | 24,813.1 | 52,104.7 | 99,229.8 |
| 2021 | 7,503.6 | 44,324.8 | 38,351.3 | 8,946.4 | 26,004.7 | 51,828.4 | 99,126.0 |
| 2022 | 7,551.3r | 46,604.1 | 38,999.2 | 8,065.9 | 26,170.7 | 54,155.4r | 101,220.5r |
| 2023 | 7,697.2 | 45,517.0 | 40,022.6 | 10,412.8 | 24,762.3 | 53,214.2 | 103,649.6 |
| 2024 | 7,512.8 | 43,248.3 | 40,099.6 | 12,111.3 | 26,830.9 | 50,761.2 | 102,972.1 |
| | | | | | | |
| 2023 | | | | | | | |
| October | 7,369.9 | 44,960.9 | 39,596.6 | 9,838.0 | 24,732.8 | 52,330.8 | 101,765.4 |
| November | 7,406.7 | 45,078.3 | 39,715.4 | 10,220.9 | 24,380.6 | 52,484.9 | 102,421.3 |
| December | 7,697.2 | 45,517.0 | 40,022.6 | 10,412.8 | 24,762.3 | 53,214.2 | 103,649.6 |
| | | | | | | |
| 2024 | | | | | | | |
| January | 7,530.3 | 44,350.7 | 39,743.3 | 10,897.2 | 24,723.5 | 51,880.9 | 102,521.4 |
| February | 7,494.1 | 45,873.5 | 39,797.1 | 10,816.4 | 24,713.5 | 53,367.7 | 103,981.2 |
| March | 7,713.2 | 44,466.0 | 40,234.7 | 10,835.6 | 25,252.6 | 52,179.2 | 103,249.5 |
| April | 7,529.6 | 45,077.4 | 40,040.8 | 10,893.5 | 25,765.0 | 52,607.0 | 103,541.4 |
| May | 7,518.5 | 43,554.2 | 40,289.0 | 11,308.8 | 25,651.3 | 51,072.7 | 102,670.4 |
| June | 7,470.3 | 42,907.9 | 40,405.7 | 11,244.6 | 26,271.2 | 50,378.1 | 102,028.4 |
| July | 7,337.4 | 41,478.4 | 40,189.3 | 11,791.5 | 26,586.9 | 48,815.8 | 100,796.5 |
| August | 7,338.4 | 42,143.4 | 40,371.6 | 12,141.5 | 26,304.4 | 49,481.7 | 101,994.8 |
| September | 7,381.0 | 42,658.5 | 40,042.3 | 12,390.0 | 27,213.4 | 50,039.4 | 102,471.8 |
| October | 7,303.8 | 41,845.4 | 40,615.3 | 12,137.6 | 27,206.4 | 49,149.2 | 101,902.1 |
| November | 7,410.6 | 42,690.8 | 40,473.0 | 11,930.6 | 26,574.0 | 50,101.4 | 102,505.0 |
| December | 7,512.8 | 43,248.3 | 40,099.6 | 12,111.3 | 26,830.9 | 50,761.2 | 102,972.1 |
| | | | | | | |
| 2025 | | | | | | | |
| January | 7,303.7 | 44,011.5 | 40,072.9 | 12,524.5 | 26,104.9 | 51,315.2 | 103,912.5 |
| February | 7,413.1 | 43,403.2 | 40,330.4 | 12,796.3 | 27,952.7 | 50,816.3 | 103,943.1 |
| March | 7,543.7 | 42,657.9 | 40,367.2 | 12,671.9 | 27,302.8 | 50,201.6 | 103,240.7 |
| April | 7,608.4 | 44,012.0 | 40,539.6 | 12,629.1 | 26,944.0 | 51,620.5 | 104,789.2 |
| May | 7,563.9 | 43,239.3 | 40,759.6 | 12,623.0 | 27,096.2 | 50,803.2 | 104,185.8 |
| June | 7,546.0 | 43,074.5 | 40,567.3 | 12,601.7 | 28,894.9 | 50,620.4 | 103,789.5 |
| | | | | | | |
| Source: Central Bank of Trinidad and Tobago | | | | | | | |
| * Foreign Currency Deposits at Commercial Banks | | | | | | | |
| r: Revised | | | | | | | |