2007
Monetary aggregates and counterparts
Monetary aggregates and main counterparts of M3
(SKK billion, levels at the end of period)
| |
2007 |
| 1 |
2 |
3 |
4 |
5 |
6 |
7 |
8 |
9 |
10 |
11 |
12 |
| Currency in circulation |
129.4 |
129.4 |
130.8 |
131.2 |
132.4 |
134.6 |
134.3 |
135.6 |
137.7 |
137.6 |
138.6 |
141.7 |
| Overnight deposits1 |
407.4 |
417.6 |
419.5 |
405.7 |
426.3 |
429.7 |
434.2 |
433.0 |
435.0 |
421.2 |
444.6 |
480.9 |
| M1 |
536.8 |
547.0 |
550.3 |
536.9 |
558.7 |
564.3 |
568.5 |
568.6 |
572.7 |
558.8 |
583.2 |
622.6 |
| Deposits with agreed maturity up to 2 years1 |
360.9 |
362.3 |
366.6 |
387.4 |
385.0 |
392.8 |
372.4 |
391.0 |
396.5 |
408.9 |
384.0 |
382.7 |
| Deposits redeemable at notice up to 3 months |
11.3 |
11.0 |
10.8 |
10.4 |
10.2 |
10.1 |
9.9 |
9.9 |
9.8 |
9.7 |
9.7 |
9.7 |
| M2 |
909.0 |
920.3 |
927.7 |
934.7 |
953.9 |
967.2 |
950.8 |
969.5 |
979.0 |
977.4 |
976.9 |
1,015.0 |
| Money market fund shares/units |
45.6 |
46.6 |
47.4 |
49.0 |
50.1 |
50.5 |
51.7 |
52.6 |
53.6 |
55.5 |
57.4 |
58.8 |
| Repurchase agreements |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.0 |
0.4 |
0.0 |
0.0 |
0.0 |
0.0 |
| Debt securities up to 2 years |
6.5 |
7.1 |
6.0 |
6.0 |
5.4 |
8.9 |
6.0 |
6.8 |
6.8 |
6.7 |
6.6 |
8.9 |
| M3 |
961.1 |
974.0 |
981.1 |
989.7 |
1,009.4 |
1,026.6 |
1008.5 |
1,029.3 |
1,039.4 |
1,039.6 |
1,040.9 |
1,082.7 |
| Long-term financial liabilities |
174.2 |
167.5 |
156.4 |
157.8 |
161.5 |
165.4 |
157.7 |
164.5 |
169.2 |
168.7 |
171.0 |
182.6 |
| Deposits with agreed maturity over 2 years |
67.4 |
69.1 |
68.7 |
68.1 |
68.5 |
69.2 |
69.1 |
69.9 |
70.2 |
70.2 |
71.1 |
73.7 |
| Deposits redeemable at notice over 3 months |
24.0 |
23.8 |
23.6 |
23.7 |
23.6 |
23.7 |
23.6 |
23.4 |
23.4 |
23.3 |
23.3 |
23.5 |
| Debt securities over 2 years |
31.7 |
30.9 |
32.0 |
33.8 |
34.5 |
37.5 |
37.0 |
37.3 |
39.0 |
41.5 |
43.0 |
44.7 |
| Capital and reserves |
51.1 |
43.7 |
32.1 |
32.2 |
34.9 |
35.0 |
28.0 |
33.9 |
36.6 |
33.7 |
33.6 |
40.7 |
| Domestic credit |
887.5 |
890.0 |
899.5 |
910.8 |
936.7 |
954.6 |
967.6 |
973.2 |
988.6 |
1,012.8 |
1,029.4 |
1,046.9 |
| Credit to general government |
239.2 |
239.7 |
242.2 |
247.0 |
255.5 |
255.0 |
254.0 |
254.8 |
253.1 |
257.6 |
260.6 |
261.6 |
| Credit to other residents |
648.3 |
650.3 |
657.3 |
663.8 |
681.2 |
699.6 |
713.6 |
718.4 |
735.5 |
755.2 |
768.8 |
785.3 |
| of which: loans granted to non-financial corporations |
331.1 |
331.6 |
332.6 |
337.6 |
346.7 |
357.5 |
364.4 |
364.2 |
374.5 |
385.1 |
389.3 |
399.5 |
| of which: loans granted to households |
240.9 |
244.1 |
249.4 |
253.1 |
260.2 |
267.1 |
273.0 |
278.7 |
284.4 |
291.5 |
298.5 |
304.3 |
| Net external assets |
252.9 |
259.8 |
250.5 |
271.9 |
287.8 |
291.6 |
273.0 |
283.1 |
284.4 |
270.7 |
265.2 |
262.2 |
| Fixed assets |
33.3 |
33.0 |
33.1 |
32.8 |
32.6 |
32.3 |
32.3 |
32.2 |
32.1 |
32.0 |
32.2 |
33.1 |
| |
| |
|
Selected indicators under SDDS' specification |
| 1 |
|
- including deposits placed with central government |