Norway - Claims on central government

Claims on central government (annual growth as % of broad money)

The value for Claims on central government (annual growth as % of broad money) in Norway was -4.43 as of 2020. As the graph below shows, over the past 59 years this indicator reached a maximum value of 12.54 in 2006 and a minimum value of -24.22 in 2001.

Definition: Claims on central government (IFS line 32AN..ZK) include loans to central government institutions net of deposits.

Source: International Monetary Fund, International Financial Statistics and data files.

See also:

Year Value
1961 1.19
1962 1.87
1963 1.01
1964 0.86
1965 1.40
1966 1.85
1967 -0.90
1968 3.60
1969 3.02
1970 6.18
1971 2.33
1972 2.66
1973 2.47
1974 -0.09
1975 2.74
1976 -2.27
1977 5.95
1978 3.68
1979 6.33
1980 1.40
1981 0.09
1982 -0.65
1983 -2.02
1984 -2.62
1985 -13.13
1986 -8.76
1987 -3.07
1988 -0.57
1989 0.19
1990 0.87
1991 2.65
1992 4.57
1993 -3.52
1994 -1.24
1995 -2.19
1996 2.65
1997 -3.25
1998 5.71
1999 -3.35
2000 -4.70
2001 -24.22
2002 2.28
2003 -5.13
2004 0.39
2005 -2.02
2006 12.54
2007 0.84
2008 -6.32
2009 -1.55
2010 -3.23
2011 2.43
2012 -1.61
2013 6.30
2014 5.11
2015 0.25
2016 -2.49
2017 -1.45
2018 -0.55
2019 -1.86
2020 -4.43

Claims on central government, etc. (% GDP)

Claims on central government, etc. (% GDP) in Norway was -19.63 as of 2020. Its highest value over the past 60 years was 14.91 in 1960, while its lowest value was -19.63 in 2020.

Definition: Claims on central government (IFS line 52AN or 32AN) include loans to central government institutions net of deposits.

Source: International Monetary Fund, International Financial Statistics and data files, and World Bank and OECD GDP estimates.

See also:

Year Value
1960 14.91
1961 14.23
1962 14.07
1963 13.57
1964 12.72
1965 12.14
1966 12.07
1967 10.64
1968 11.59
1969 12.05
1970 13.14
1971 12.75
1972 12.71
1973 12.31
1974 10.60
1975 10.47
1976 8.18
1977 9.78
1978 10.52
1979 12.41
1980 11.10
1981 9.72
1982 8.49
1983 6.77
1984 4.90
1985 -1.55
1986 -5.93
1987 -6.89
1988 -6.90
1989 -6.36
1990 -5.54
1991 -3.81
1992 -1.20
1993 -3.13
1994 -3.65
1995 -4.54
1996 -2.84
1997 -4.21
1998 -1.35
1999 -2.97
2000 -4.57
2001 -12.82
2002 -11.45
2003 -12.60
2004 -11.53
2005 -11.45
2006 -4.12
2007 -4.03
2008 -13.71
2009 -16.51
2010 -17.97
2011 -15.98
2012 -16.24
2013 -13.03
2014 -10.72
2015 -11.21
2016 -13.27
2017 -13.87
2018 -13.82
2019 -15.54
2020 -19.63

Classification

Topic: Financial Sector Indicators

Sub-Topic: Assets