Government
Debt Data
DEBT OF DIRECT USERS OF THE GOVERNMENT BUDGET
mio USD |
| |
31-12-93 |
31-12-94 |
31-12-95 |
31-12-96 |
31-12-97 |
31-12-98 |
31-12-99 |
31-12-00 |
31-12-01 |
31-12-02 |
31-12-03 |
31-12-04 |
31-12-05 |
31-12-06 |
| TOTAL DEBT OUTSTANDING |
2.298,0 |
2.712,0 |
3.318,4 |
4.104,0 |
3.980,0 |
4.784,7 |
4.539,8 |
4.456,7 |
4.897,0 |
6.421,7 |
7.872,7 |
9.077,0 |
8.269,3 |
9.683,8 |
| I. INTERNAL DEBT |
2.001,0 |
2.301,0 |
2.746,1 |
2.513,0 |
2.362,0 |
2.949,9 |
2.533,3 |
2.221,3 |
2.531,0 |
3.772,1 |
4.818,6 |
6.049,7 |
6.262,6 |
7.635,0 |
| 1. PUBLIC SECTOR |
241,0 |
279,0 |
162,3 |
36,0 |
66,0 |
11,3 |
28,9 |
57,3 |
3,1 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
| 2. BANK OF SLOVENIA |
28,0 |
7,0 |
5,4 |
6,0 |
3,0 |
3,9 |
1,2 |
1,4 |
31,6 |
34,6 |
37,5 |
39,4 |
36,3 |
38,2 |
| 3. DEPOSIT MONEY BANKS |
1.391,0 |
1.675,0 |
780,5 |
754,0 |
256,0 |
504,1 |
419,2 |
333,5 |
383,3 |
460,2 |
433,7 |
445,8 |
519,0 |
392,1 |
| 3.1 Loans |
119,0 |
110,0 |
195,5 |
215,0 |
256,0 |
504,1 |
419,2 |
333,5 |
383,3 |
460,2 |
433,7 |
445,8 |
519,0 |
392,1 |
| 3.2 Nonnegotiable
securities |
1.272,0 |
1.565,0 |
585,0 |
539,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
| 4 .NEGOTIABLE SECURITIES |
328,0 |
329,0 |
1.797,9 |
1.716,0 |
2.037,0 |
2.430,6 |
2.084,1 |
1.829,1 |
2.113,0 |
3.277,3 |
4.347,5 |
5.564,5 |
5.707,2 |
7.204,6 |
| 4.1 Short-term |
7,0 |
2,0 |
2,1 |
0,0 |
0,0 |
49,6 |
66,1 |
94,9 |
216,0 |
390,0 |
409,2 |
442,0 |
390,5 |
451,0 |
| 4.2 Long-term |
321,0 |
327,0 |
1.795,8 |
1.716,0 |
2.037,0 |
2.381,0 |
2.018,0 |
1.734,1 |
1.897,0 |
2.887,3 |
3.938,3 |
5.122,4 |
5.316,7 |
6.753,6 |
| 5. OTHER DOMESTIC
CREDITORS |
13,0 |
11,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
0,0 |
| II. EXTERNAL DEBT |
298,0 |
411,0 |
572,3 |
1.592,0 |
1.617,0 |
1.834,7 |
2.006,5 |
2.235,4 |
2.366,0 |
2.649,6 |
3.054,1 |
3.027,4 |
2.006,7 |
2.048,8 |
| 1. INTERNATIONAL ORGANIZATION |
212,0 |
261,0 |
295,6 |
264,0 |
227,0 |
228,4 |
194,0 |
176,9 |
255,8 |
251,1 |
247,8 |
281,1 |
227,8 |
217,4 |
| 2. FOREIGN GOVERNMENTS
AND AGENCIES |
0,0 |
9,0 |
19,3 |
121,0 |
72,0 |
60,1 |
45,5 |
35,6 |
27,0 |
27,6 |
28,8 |
27,4 |
23,8 |
26,5 |
| 3. DEPOSIT MONEY BANKS |
86,0 |
141,0 |
257,4 |
233,0 |
202,0 |
284,1 |
240,9 |
219,5 |
204,9 |
174,1 |
162,1 |
167,3 |
137,5 |
26,7 |
| 4. BONDS |
0,0 |
0,0 |
0,0 |
974,0 |
1.116,0 |
1.262,1 |
1.526,0 |
1.803,4 |
1.878,3 |
2.196,8 |
2.615,3 |
2.551,6 |
1.617,6 |
1.778,2 |
| Exchange rate SIT/USD* |
131,8 |
126,5 |
126,0 |
141,5 |
169,2 |
161,2 |
196,8 |
227,4 |
250,9 |
221,1 |
189,4 |
176,2 |
202,4 |
181,9 |
* Mid exchange
rate from Bank of Slovenia as per end
of the year
DEBT OF DIRECT USERS OF THE GOVERNMENT
BUDGET as % of GDP
% GDP |
| Category |
31-12-93 |
31-12-94 |
31-12-95 |
31-12-96 |
31-12-97 |
31-12-98 |
31-12-99 |
31-12-00 |
31-12-01 |
31-12-02 |
31-12-03 |
31-12-04 |
31-12-05 |
31-12-06 |
| TOTAL DEBT OUTSTANDING |
21,1% |
18,5% |
17,4% |
21,0% |
21,4% |
22,1% |
22,8% |
23,6% |
25,6% |
26,5% |
25,6% |
25,5% |
25,3% |
25,0% |
| I. INTERNAL DEBT |
18,4% |
15,7% |
14,4% |
12,8% |
12,7% |
13,6% |
12,7% |
11,7% |
13,2% |
15,6% |
15,7% |
17,0% |
19,1% |
19,7% |
| 1. PUBLIC SECTOR |
2,2% |
1,9% |
0,9% |
0,2% |
0,4% |
0,1% |
0,1% |
0,3% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
| 2. BANK OF SLOVENIA |
0,3% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,2% |
0,1% |
0,1% |
0,1% |
0,1% |
0,1% |
| 3. DEPOSIT MONEY BANKS |
12,8% |
11,4% |
4,1% |
3,9% |
1,4% |
2,3% |
2,1% |
1,8% |
2,0% |
1,9% |
1,4% |
1,3% |
1,6% |
1,0% |
| 3.1 Loans |
1,1% |
0,8% |
1,0% |
1,1% |
1,4% |
2,3% |
2,1% |
1,8% |
2,0% |
1,9% |
1,4% |
1,3% |
1,6% |
1,0% |
| 3.2 Nonnegotiable
securities |
11,7% |
10,7% |
3,1% |
2,8% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
| 4 .NEGOTIABLE SECURITIES |
3,0% |
2,2% |
9,4% |
8,8% |
10,9% |
11,2% |
10,5% |
9,7% |
11,0% |
13,5% |
14,2% |
15,6% |
17,5% |
18,6% |
| 4.1 Short-term |
0,1% |
0,0% |
0,0% |
0,0% |
0,0% |
0,2% |
0,3% |
0,5% |
1,1% |
1,6% |
1,3% |
1,2% |
1,2% |
1,2% |
| 4.2 Long-term |
2,9% |
2,2% |
9,4% |
8,8% |
10,9% |
11,0% |
10,1% |
9,2% |
9,9% |
11,9% |
12,8% |
14,4% |
16,3% |
17,4% |
| 5. OTHER DOMESTIC
CREDITORS |
0,1% |
0,1% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
| II. EXTERNAL DEBT |
2,7% |
2,8% |
3,0% |
8,1% |
8,7% |
8,5% |
10,1% |
11,8% |
12,4% |
10,9% |
9,9% |
8,5% |
6,1% |
5,3% |
| 1. INTERNATIONAL ORGANIZATION |
1,9% |
1,8% |
1,5% |
1,3% |
1,2% |
1,1% |
1,0% |
0,9% |
1,3% |
1,0% |
0,8% |
0,8% |
0,7% |
0,6% |
| 2. FOREIGN GOVERNMENTS
AND AGENCIES |
0,0% |
0,1% |
0,1% |
0,6% |
0,4% |
0,3% |
0,2% |
0,2% |
0,1% |
0,1% |
0,1% |
0,1% |
0,1% |
0,1% |
| 3. DEPOSIT MONEY BANKS |
0,8% |
1,0% |
1,3% |
1,2% |
1,1% |
1,3% |
1,2% |
1,2% |
1,1% |
0,7% |
0,5% |
0,5% |
0,4% |
0,1% |
| 4. BONDS |
0,0% |
0,0% |
0,0% |
5,0% |
6,0% |
5,8% |
7,7% |
9,5% |
9,8% |
9,1% |
8,5% |
7,2% |
4,9% |
4,6% |
STRUCTURE OF DEBT OF DIRECT USERS OF THE
GOVERNMENT BUDGET
% |
| |
31-12-93 |
31-12-94 |
31-12-95 |
31-12-96 |
31-12-97 |
31-12-98 |
31-12-99 |
31-12-00 |
31-12-01 |
31-12-02 |
31-12-03 |
31-12-04 |
31-12-05 |
31-12-06 |
| TOTAL DEBT OUTSTANDING |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
100,0% |
| I. INTERNAL DEBT |
87,0% |
84,8% |
82,6% |
61,2% |
59,4% |
61,7% |
55,8% |
49,8% |
51,7% |
58,7% |
61,2% |
66,6% |
75,7% |
78,8% |
| 1. PUBLIC SECTOR |
10,5% |
10,3% |
4,9% |
0,9% |
1,7% |
0,2% |
0,6% |
1,3% |
0,1% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
| 2. BANK OF SLOVENIA |
1,2% |
0,3% |
0,2% |
0,1% |
0,1% |
0,1% |
0,0% |
0,0% |
0,6% |
0,5% |
0,5% |
0,4% |
0,4% |
0,4% |
| 3. DEPOSIT MONEY BANKS |
60,5% |
61,8% |
23,7% |
18,4% |
6,4% |
10,5% |
9,2% |
7,5% |
7,8% |
7,2% |
5,5% |
4,9% |
6,3% |
4,0% |
| 3.1 Loans |
5,2% |
4,1% |
5,9% |
5,2% |
6,4% |
10,5% |
9,2% |
7,5% |
7,8% |
7,2% |
5,5% |
4,9% |
6,3% |
4,0% |
| 3.2 Nonnegotiable
securities |
55,3% |
57,7% |
17,8% |
13,1% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
| 4 .NEGOTIABLE SECURITIES |
14,3% |
12,1% |
53,8% |
41,8% |
51,2% |
50,8% |
45,9% |
41,0% |
43,1% |
51,0% |
55,2% |
61,3% |
69,0% |
74,4% |
| 4.1 Short-term |
0,3% |
0,1% |
0,1% |
0,0% |
0,0% |
1,0% |
1,5% |
2,1% |
4,4% |
6,1% |
5,2% |
4,9% |
4,7% |
4,7% |
| 4.2 Long-term |
14,0% |
12,1% |
53,7% |
41,8% |
51,2% |
49,8% |
44,5% |
38,9% |
38,7% |
45,0% |
50,0% |
56,4% |
64,3% |
69,7% |
| 5. OTHER DOMESTIC
CREDITORS |
0,5% |
0,4% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
0,0% |
| II. EXTERNAL DEBT |
13,0% |
15,2% |
17,4% |
38,8% |
40,6% |
38,3% |
44,2% |
50,2% |
48,3% |
41,3% |
38,8% |
33,4% |
24,3% |
21,2% |
| 1. INTERNATIONAL ORGANIZATION |
9,2% |
9,6% |
9,0% |
6,4% |
5,7% |
4,8% |
4,3% |
4,0% |
5,2% |
3,9% |
3,1% |
3,1% |
2,8% |
2,2% |
| 2. FOREIGN GOVERNMENTS
AND AGENCIES |
0,0% |
0,3% |
0,6% |
3,0% |
1,8% |
1,3% |
1,0% |
0,8% |
0,6% |
0,4% |
0,4% |
0,3% |
0,3% |
0,3% |
| 3. DEPOSIT MONEY BANKS |
3,7% |
5,2% |
7,8% |
5,7% |
5,1% |
5,9% |
5,3% |
4,9% |
4,2% |
2,7% |
2,1% |
1,8% |
1,7% |
0,3% |
| 4. BONDS |
0,0% |
0,0% |
0,0% |
23,7% |
28,0% |
26,4% |
33,6% |
40,5% |
38,4% |
34,2% |
33,2% |
28,1% |
19,6% |
18,4% |

DEBTS/GDP
| |
Debt of direct users
of
the government budget in milions
SIT |
Debt of direct users
of
the goverment budget as % of BDP |
| 1993 |
303,0 |
21,1% |
| 1994 |
343,0 |
18,5% |
| 1995 |
418,1 |
17,4% |
| 1996 |
580,7 |
21,0% |
| 1997 |
673,3 |
21,4% |
| 1998 |
771,3 |
22,1% |
| 1999 |
893,3 |
22,8% |
| 2000 |
1.013,4 |
23,6% |
| 2001 |
1.228,9 |
25,6% |
| 2002 |
1.419,7 |
26,5% |
| 2003 |
1.490,8 |
25,6% |
| 2004 |
1.599,8 |
25,5% |
| 2005 |
1.674,0 |
25,3% |
| 2006 |
1.761,7 |
25,0% |
| |
Debt of direct users
of
the government budget in EURO |
Debt of direct users
of
the government budget as % of GDP |
| 1993 |
2.050 |
21,1% |
| 1994 |
2.211.010 |
18,5% |
| 1995 |
2.589.725 |
17,4% |
| 1996 |
3.310.473 |
21,0% |
| 1997 |
3.605.675 |
21,4% |
| 1998 |
4.082.527 |
22,1% |
| 1999 |
4.527.069 |
22,8% |
| 2000 |
4.791.129 |
23,6% |
| 2001 |
5.550.236 |
25,6% |
| 2002 |
6.165.265 |
26,5% |
| 2003 |
6.298.602 |
25,6% |
| 2004 |
6.672.979 |
25,5% |
| 2005 |
6.987.356 |
25,3% |
| 2006 |
7.351.529 |
25,0% |



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