Financial Sector in Netherlands

452 indicators covering financial sector for Netherlands.

IndicatorLatest Year10-yr change Rank
Autumn/December 2020 1.9 2023 up 2,000.0% 16th
Spring/June 2021 1.9 2023 up 2,000.0% 14th
Autumn/December 2019 1.2 2022 up 220.0% 17th
Spring/June 2020 2.4 2022 up 340.0% 16th
Total factoring volume to GDP 15.3% 2020 up 175.6% 7th
Autumn/December 2018 1.6 2021 up 6.7% 13th
Spring/June 2019 1.4 2021 down 6.7% 14th
Autumn/December 2017 1.9 2020 up 46.2% 12th
Spring/June 2018 1.9 2020 up 46.2% 12th
Global leasing volume to GDP 1.0% 2019 up 36.0% 35th
Autumn/December 2016 1.8 2019 up 147.4% 12th
Spring/June 2017 1.9 2019 up 150.0% 12th
All currencies combined 76.62 2021 up 52.0% 15th
Spring/June 2016 2 2018 up 17.6% 12th
Autumn/December 2015 2.2 2017 down 40.5% 11th
Spring/June 2015 2.2 2017 down 47.6% 10th
Maastricht assets/liabilities (General government (ESA95)-NCBs) 73.51 2013 up 41.4% 15th
Short-term securities other than shares (General government) 4.32 2013 up 1.8% 8th
Long-term securities other than shares (General government) 53.38 2013 up 39.7% 13th
Currency and deposits (General government (ESA95)-NCBs, Financial) 0.0846 2013 down 42.4% 21st
Long-term debt (General government (ESA95)-NCBs, Financial stocks at) 64.45 2013 up 40.2% 14th
Short-term debt (General government (ESA95)-NCBs, Financial stocks at) 10.4 2012 up 85.4% 6th
Debt, domestic currency denominated (General government (ESA95)-NCBs) 71.69 2013 up 38.8% 11th
Debt, non-participating foreign currency denominated (General) 1.82 2013 up 403.1% 10th
Debt, participating foreign currency denominated (General government) 0 2013 11th
Zero coupon (General government (ESA95)-NCBs, Financial stocks at) 0 2013 12th
Debt, residual maturity up to 1 year (General government) 16.15 2012 up 39.0% 10th
Debt, residual maturity over 1 and up to 5 years (General government) 26.08 2012 up 39.7% 10th
Debt, residual maturity over 5 years (General government) 29.03 2012 up 43.4% 12th
Long-term debt, of which variable interest rate (General government) 0 2013 down 100.0% 19th
Debt, residual maturity between 1 and 5 years with variable interest 0 2012 17th
Debt, residual maturity above 5 years with variable interest rate 0 2013 down 100.0% 15th