2006
Monetary aggregates and counterparts
Monetary aggregates and main counterparts of M3
(SKK billion, levels at the end of period)
| |
2006 |
| 1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
| Currency in circulation |
118.8 |
119.4 |
120.1 |
121.3 |
121.9 |
124.5 |
124.4 |
125.8 |
126.5 |
126.1 |
127.3 |
131.2 |
| Overnight deposits1 |
358.9 |
374.1 |
365.9 |
364.2 |
391 |
397.2 |
403.7 |
387 |
386.5 |
385.7 |
405.3 |
419.5 |
| M1 |
477.7 |
493.5 |
486 |
485.5 |
512.9 |
521.7 |
528.1 |
512.8 |
513 |
511.8 |
532.6 |
550.7 |
| Deposits with agreed maturity up to 2 years1 |
287.2 |
280.7 |
296.5 |
309.3 |
285 |
287.3 |
291.7 |
323.4 |
325.1 |
338.8 |
334 |
345.8 |
| Deposits redeemable at notice up to 3 months |
14.4 |
14.2 |
14.1 |
13.7 |
13.4 |
13.2 |
13.0 |
12.7 |
12.5 |
12.1 |
11.8 |
11.6 |
| M2 |
779.3 |
788.4 |
796.6 |
808.5 |
811.3 |
822.2 |
832.8 |
848.9 |
850.6 |
862.7 |
878.4 |
908.1 |
| Money market fund shares/units |
44.5 |
44.3 |
43.1 |
40.8 |
39.6 |
38.6 |
38.6 |
38.6 |
38.9 |
41.3 |
43.7 |
45.0 |
| Repurchase agreements |
0.5 |
0.5 |
0.5 |
0.5 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
| Debt securities up to 2 years |
0.6 |
0.6 |
0.5 |
0.4 |
0.3 |
0.4 |
0.4 |
4.8 |
4.8 |
4.7 |
4.6 |
5.4 |
| M3 |
824.9 |
833.8 |
840.7 |
850.2 |
851.2 |
861.2 |
871.8 |
892.3 |
894.3 |
908.7 |
926.7 |
958.5 |
| Long-term financial liabilities |
182.6 |
186.1 |
191.9 |
182.1 |
183.1 |
193.1 |
194.2 |
191.2 |
190.3 |
182.2 |
172.4 |
168.0 |
| Deposits with agreed maturity over 2 years |
57.5 |
59.5 |
59.8 |
60.4 |
60.5 |
61 |
61.9 |
62.1 |
62.4 |
62.6 |
62.9 |
66.7 |
| Deposits redeemable at notice over 3 months |
27.5 |
27.2 |
26.9 |
26.6 |
26.4 |
26.1 |
25.8 |
25.3 |
25 |
24.7 |
24.4 |
24.3 |
| Debt securities over 2 years |
18.7 |
18.8 |
21.2 |
21.7 |
21.9 |
25 |
25.1 |
25.5 |
25.9 |
27.6 |
28.8 |
31.6 |
| Capital and reserves |
78.9 |
80.6 |
84.0 |
73.4 |
74.3 |
81 |
81.4 |
78.3 |
77 |
67.3 |
56.3 |
45.4 |
| Domestic credit |
769.2 |
780.8 |
794.5 |
800 |
822.2 |
833.1 |
829.2 |
843.2 |
850.3 |
878.9 |
885.6 |
895.8 |
| Credit to general government |
241.8 |
248.3 |
250.0 |
247.5 |
253.3 |
248.9 |
248.5 |
253.5 |
250.8 |
251.6 |
252.7 |
254.8 |
| Credit to other residents |
527.4 |
532.5 |
544.5 |
552.5 |
568.9 |
584.2 |
580.7 |
589.7 |
599.5 |
627.3 |
632.9 |
641.0 |
| of which: loans granted to non-financial corporations |
276.0 |
277.6 |
281.9 |
284.2 |
292.2 |
299.3 |
291.2 |
295.7 |
300.9 |
323.5 |
324.0 |
326.5 |
| of which: loans granted to households |
183.8 |
186.3 |
191.6 |
196.5 |
202.3 |
208.7 |
213.7 |
218.8 |
223.6 |
229.1 |
233.5 |
238.1 |
| Net external assets |
259.8 |
265.8 |
297.2 |
318.4 |
302.4 |
302.6 |
311.7 |
310.5 |
296.4 |
284.1 |
278.4 |
256.1 |
| Fixed assets |
33.6 |
33.4 |
33.4 |
33.2 |
33.1 |
33.1 |
33.1 |
33.0 |
32.7 |
32.7 |
32.6 |
34.2 |
| |
| |
|
Selected indicators under SDDS' specification |
| 1 |
|
- including deposits placed with central government |