Financial Sector in Greece 449 indicators covering financial sector for Greece. IndicatorLatest Year10-yr change Rank Autumn/December 2018 2.2 2021 up 124.2% 10th Spring/June 2019 2.2 2021 up 124.2% 9th Banking crisis dummy (1=banking crisis, 0=none), annual growth rate -100 % change on previous year 2013 — 3rd Market capitalization excluding top 10 companies to total market 41.0% 2020 up 12.1% 33rd Autumn/December 2017 2.4 2020 up 143.6% 10th Spring/June 2018 2.4 2020 up 143.6% 10th Global leasing volume to GDP 0.2% 2019 down 62.7% 47th Autumn/December 2016 3 2019 up 169.8% 5th Spring/June 2017 2.7 2019 up 162.8% 9th All currencies combined 103.75 2021 up 143.8% 4th Spring/June 2016 3 2018 up 1,100.0% 8th Autumn/December 2015 2.4 2017 down 27.3% 9th Spring/June 2015 2.8 2017 down 20.0% 7th Maastricht assets/liabilities (General government (ESA95)-NCBs) 175.06 2013 up 79.7% 2nd Short-term securities other than shares (General government) 6.59 2013 up 268.3% 7th Long-term securities other than shares (General government) 36.93 2013 down 54.8% 18th Currency and deposits (General government (ESA95)-NCBs, Financial) 0.4499 2013 up 2.6% 13th Long-term debt (General government (ESA95)-NCBs, Financial stocks at) 167.34 2013 up 75.3% 1st Short-term debt (General government (ESA95)-NCBs, Financial stocks at) 7.72 2013 up 290.3% 12th Debt, domestic currency denominated (General government (ESA95)-NCBs) 167.78 2013 up 75.7% 1st Debt, non-participating foreign currency denominated (General) 7.28 2013 up 271.1% 2nd Debt, participating foreign currency denominated (General government) 0 2013 — 11th Zero coupon (General government (ESA95)-NCBs, Financial stocks at) 0 2013 down 100.0% 12th Debt, residual maturity up to 1 year (General government) 21.82 2011 up 91.4% 4th Debt, residual maturity over 1 and up to 5 years (General government) 80.74 2011 up 56.4% 1st Debt, residual maturity over 5 years (General government) 67.75 2011 up 66.4% 3rd Long-term debt, of which variable interest rate (General government) 66.67 2011 up 118.8% 1st Debt, residual maturity between 1 and 5 years with variable interest 45.04 2011 up 241.3% 1st Debt, residual maturity above 5 years with variable interest rate 11.71 2011 up 1,160.0% 3rd ← Previous Page 8 of 8