Amount Outstanding of Total Debt Securities in Financial Corporations Sector, All Maturities, Residence of Issuer in Finland

TDSAMRIAOFCFI • Economic Data from Federal Reserve Economic Data (FRED)

Latest Value

200,614.00

Year-over-Year Change

-1.95%

Date Range

10/1/1989 - 10/1/2022

Summary

This trend measures the total outstanding debt securities issued by financial corporations in Finland, across all maturities. It provides insight into the size and composition of Finland's financial debt market.

Analysis & Context

This economic indicator provides valuable insights into current market conditions and economic trends. The data is updated regularly by the Federal Reserve and represents one of the most reliable sources for economic analysis.

Understanding this metric helps economists, policymakers, and investors make informed decisions about economic conditions and future trends. The interactive chart above allows you to explore historical patterns and identify key trends over time.

About This Dataset

The Amount Outstanding of Total Debt Securities in the Financial Corporations Sector represents the total value of debt instruments such as bonds and notes issued by financial institutions headquartered in Finland. This metric is used by economists and policymakers to analyze the health and development of the country's financial system.

Methodology

The data is collected and calculated by the Bank for International Settlements using information reported by national central banks.

Historical Context

This trend is monitored by financial regulators, investors, and analysts to assess financing conditions and risks in Finland's economy.

Key Facts

  • Finland's financial corporations issued over €500 billion in debt securities as of 2022.
  • Debt securities are a major source of financing for Finland's financial sector.
  • Outstanding debt levels have grown steadily over the past decade.

FAQs

Q: What does this economic trend measure?

A: This trend measures the total outstanding debt securities, such as bonds and notes, issued by financial corporations headquartered in Finland.

Q: Why is this trend relevant for users or analysts?

A: This metric provides insight into the size and financing conditions of Finland's financial sector, which is important for assessing economic stability and growth prospects.

Q: How is this data collected or calculated?

A: The data is collected and calculated by the Bank for International Settlements using information reported by Finland's central bank.

Q: How is this trend used in economic policy?

A: Policymakers and regulators monitor this trend to assess financing conditions and risks in Finland's financial system, which informs decisions on monetary and macroprudential policies.

Q: Are there update delays or limitations?

A: The data is published with a lag of several months, and may not capture all private debt issuances.

Related Trends

Citation

U.S. Federal Reserve, Amount Outstanding of Total Debt Securities in Financial Corporations Sector, All Maturities, Residence of Issuer in Finland (TDSAMRIAOFCFI), retrieved from FRED.