Mauritius - Net acquisition of financial assets

Net acquisition of financial assets (current LCU)

The value for Net acquisition of financial assets (current LCU) in Mauritius was -763,800,000 as of 2019. As the graph below shows, over the past 29 years this indicator reached a maximum value of 24,511,390,000 in 2016 and a minimum value of -13,337,840,000 in 2018.

Definition: Net acquisition of government financial assets includes domestic and foreign financial claims, SDRs, and gold bullion held by monetary authorities as a reserve asset. The net acquisition of financial assets should be offset by the net incurrence of liabilities.

Source: International Monetary Fund, Government Finance Statistics Yearbook and data files.

Year Value
1990 1,562,100,000
1991 2,100,400,000
1992 -3,183,800,000
1993 705,500,000
1994 1,559,700,000
1995 843,900,000
1996 1,326,800,000
1997 1,505,000,000
1998 1,833,000,000
1999 -2,241,000,000
2000 1,766,200,000
2001 -6,362,700,000
2002 5,340,700,000
2003 7,856,200,000
2004 -4,439,100,000
2005 3,985,700,000
2006 2,290,600,000
2007 -1,753,500,000
2008 6,682,300,000
2009 13,565,700,000
2010 -1,920,300,000
2011 4,228,700,000
2012 6,143,100,000
2013 8,687,200,000
2014 10,445,200,000
2015 2,694,610,000
2016 24,511,390,000
2017 4,502,100,000
2018 -13,337,840,000
2019 -763,800,000

Net acquisition of financial assets (% of GDP)

Net acquisition of financial assets (% of GDP) in Mauritius was -0.15 as of 2019. Its highest value over the past 29 years was 5.64 in 2016, while its lowest value was -6.34 in 1992.

Definition: Net acquisition of government financial assets includes domestic and foreign financial claims, SDRs, and gold bullion held by monetary authorities as a reserve asset. The net acquisition of financial assets should be offset by the net incurrence of liabilities.

Source: International Monetary Fund, Government Finance Statistics Yearbook and data files.

See also:

Year Value
1990 3.96
1991 4.70
1992 -6.34
1993 1.22
1994 2.44
1995 1.20
1996 1.67
1997 1.71
1998 1.83
1999 -2.05
2000 1.44
2001 -4.73
2002 3.68
2003 4.84
2004 -2.45
2005 2.08
2006 1.03
2007 -0.69
2008 2.35
2009 4.65
2010 -0.62
2011 1.28
2012 1.75
2013 2.33
2014 2.66
2015 0.66
2016 5.64
2017 0.98
2018 -2.77
2019 -0.15

Classification

Topic: Public Sector Indicators

Sub-Topic: Government finance