Financial Sector in Czechia
490 indicators covering financial sector for Czechia.
| Indicator | Latest | Year | 10-yr change | Rank |
|---|---|---|---|---|
| Short-term debt (General government (ESA95)-NCBs, Financial stocks at) | 3.19 | 2013 | down 51.6% | 16th |
| Debt, domestic currency denominated (General government (ESA95)-NCBs) | 37.19 | 2013 | up 34.9% | 18th |
| Debt, non-participating foreign currency denominated (General) | 0.4611 | 2013 | up 23,287.7% | 14th |
| Debt, participating foreign currency denominated (General government) | 8.39 | 2013 | up 730.3% | 6th |
| Debt, residual maturity up to 1 year (General government) | 7.29 | 2013 | down 43.8% | 17th |
| Debt, residual maturity over 1 and up to 5 years (General government) | 17.41 | 2013 | up 141.1% | 18th |
| Debt, residual maturity over 5 years (General government) | 21.35 | 2013 | up 154.3% | 18th |
| Long-term debt, of which variable interest rate (General government) | 7.72 | 2013 | up 1,668.3% | 7th |
| Debt, residual maturity between 1 and 5 years with variable interest | 4.05 | 2013 | up 1,801.3% | 6th |
| Debt, residual maturity above 5 years with variable interest rate | 3.62 | 2013 | up 1,521.1% | 6th |