Total financial sector liabilities, non-consolidated - annual data

The total financial corporations sector liabilities measures the evolution of the sum of liabilities (which includes Currency and deposits (F2), Debt securities (F3), Loans (F4), Equity and investment fund shares (F5), Insurance, pensions and standardised guarantees (F6), Financial derivatives and employee stock options (F7) and Other accounts payable (F8)) of the Financial corporations sector (S12). Data are presented in non-consolidated terms, i.e. data take into account transactions within the same sector. Data are presented as 1-year % change, % of GDP and in million units of national currency. Definitions regarding sectors and instruments are based on the ESA 2010. The MIP indicator is expressed as year over year growth rate, with an indicative threshold 16.5%. The headline indicator is calculated as 1-year % change.

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