Ukraine - Broad money

Broad money (current LCU)

The value for Broad money (current LCU) in Ukraine was 1,850,010,000,000 as of 2020. As the graph below shows, over the past 28 years this indicator reached a maximum value of 1,850,010,000,000 in 2020 and a minimum value of 25,218,330 in 1992.

Definition: Broad money (IFS line 35L..ZK) is the sum of currency outside banks; demand deposits other than those of the central government; the time, savings, and foreign currency deposits of resident sectors other than the central government; bank and traveler’s checks; and other securities such as certificates of deposit and commercial paper.

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

Year Value
1992 25,218,330
1993 481,456,300
1994 3,215,694,000
1995 6,929,957,000
1996 9,364,400,000
1997 12,540,780,000
1998 15,556,190,000
1999 21,868,820,000
2000 31,610,280,000
2001 45,755,210,000
2002 65,128,840,000
2003 95,334,120,000
2004 125,705,000,000
2005 194,071,000,000
2006 261,063,000,000
2007 396,156,000,000
2008 515,727,000,000
2009 487,298,000,000
2010 597,872,000,000
2011 685,515,000,000
2012 773,199,000,000
2013 908,994,000,000
2014 956,728,000,000
2015 994,062,000,000
2016 1,102,700,000,000
2017 1,208,860,000,000
2018 1,277,640,000,000
2019 1,438,310,000,000
2020 1,850,010,000,000

Broad money (% of GDP)

Broad money (% of GDP) in Ukraine was 44.13 as of 2020. Its highest value over the past 28 years was 60.29 in 2014, while its lowest value was 11.49 in 1996.

Definition: Broad money (IFS line 35L..ZK) is the sum of currency outside banks; demand deposits other than those of the central government; the time, savings, and foreign currency deposits of resident sectors other than the central government; bank and traveler’s checks; and other securities such as certificates of deposit and commercial paper.

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

See also:

Year Value
1992 50.11
1993 32.47
1994 26.71
1995 12.71
1996 11.49
1997 13.43
1998 15.16
1999 16.77
2000 17.95
2001 21.67
2002 27.82
2003 34.37
2004 35.16
2005 42.44
2006 46.20
2007 52.74
2008 52.05
2009 51.45
2010 53.35
2011 50.81
2012 52.99
2013 59.70
2014 60.29
2015 49.99
2016 46.23
2017 40.55
2018 35.89
2019 36.16
2020 44.13

Broad money to total reserves ratio

Broad money to total reserves ratio in Ukraine was 2.36 as of 2020. Its highest value over the past 28 years was 128.33 in 1993, while its lowest value was 1.95 in 2005.

Definition: Broad money (IFS line 35L..ZK) is the sum of currency outside banks; demand deposits other than those of the central government; the time, savings, and foreign currency deposits of resident sectors other than the central government; bank and traveler’s checks; and other securities such as certificates of deposit and commercial paper.

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

See also:

Year Value
1992 79.02
1993 128.33
1994 21.12
1995 5.73
1996 2.60
1997 2.86
1998 8.01
1999 4.84
2000 3.93
2001 2.76
2002 2.74
2003 2.57
2004 2.43
2005 1.95
2006 2.31
2007 2.41
2008 3.10
2009 2.36
2010 2.18
2011 2.71
2012 3.94
2013 5.57
2014 10.68
2015 3.42
2016 2.78
2017 2.42
2018 2.26
2019 2.20
2020 2.36

Broad money growth (annual %)

The value for Broad money growth (annual %) in Ukraine was 28.62 as of 2020. As the graph below shows, over the past 27 years this indicator reached a maximum value of 1,809.15 in 1993 and a minimum value of -5.51 in 2009.

Definition: Broad money (IFS line 35L..ZK) is the sum of currency outside banks; demand deposits other than those of the central government; the time, savings, and foreign currency deposits of resident sectors other than the central government; bank and traveler’s checks; and other securities such as certificates of deposit and commercial paper.

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

See also:

Year Value
1993 1,809.15
1994 567.91
1995 115.50
1996 35.13
1997 33.92
1998 24.04
1999 40.58
2000 44.54
2001 44.75
2002 42.34
2003 46.38
2004 31.86
2005 54.39
2006 34.52
2007 51.75
2008 30.18
2009 -5.51
2010 22.69
2011 14.66
2012 12.79
2013 17.56
2014 5.25
2015 3.90
2016 10.93
2017 9.63
2018 5.69
2019 12.58
2020 28.62

Classification

Topic: Financial Sector Indicators

Sub-Topic: Monetary holdings (liabilities)