Economic statistics - 01.02.1980, Blaðsíða 10
II. Money and Credit
Table 4. Monetarv Survey'
(BiUions of krónur)
Lending** Money
Position at the end of Liquid foreign assets Govern- ment Munie- ipat- Non-bank financ. Private Money supplv Money and gen. sav. dep. Broad money Long term for. Other items
period (net) (net) ities instit. sector Total (Ml) (M2) (Mi) deht net
(1) (2) (3) (4) (5) (6) (7) (8) (9) (10) (ii)
1965 2.0 0.1 0.3 0.7 8.1 9.2 2.6 7.6 9.4 0.3 1.5
1966 2.1 -0.1 0.4 0.7 9.4 10.4 2.8 8.2 10.7 0.3 1.5
1967 1.3 0.3 0.4 0.9 10.3 1 1.9 2.6 8.2 11.1 0.5 1.6
1968 0.7 0.8 0.6 1.0 11.5 13.9 2.9 8.7 12.0 0.8 1.8
1969 2.1 1.1 0.5 1.2 12.5 15.3 3.8 10.9 14.8 0.3 2.3
1970 3.3 0.8 0.8 1.5 14.8 17.9 4.6 13.5 18.2 0.1 2.9
1971 4.8 0.9 0.9 2.2 17.9 21.9 5.7 16.0 21.8 0.7 4.2
1972 6.2 0.7 0.8 2.6 21.5 25.6 7.0 19.2 25.9 0.8 5.1
1973 6.3 2.0 1.0 3.2 29.3 35.5 9.7 26.0 34.4 1.4 6.0
1974 2.1 6.1 2.0 3.7 46.6 58.4 12.4 33.6 43.9 5.4 11.2
1975 -3.3 12.8 2.2 6.4 60.7 82.1 17.1 44.2 56.6 13.1 9.1
1976 -0.3 15.6 3.1 7.9 76.5 103.1 20.8 54.8 75.0 16.1 11.7
1977 6.2 17.9 3.5 8.9 109.4 139.7 30.6 78.3 107.9 21.0 17.0
1978:
Nov. 14.5 28.1 5.8 10.0 166.6 210.5 44.7 102.1 141.2 36.1 47.7
Dec. 20.4 32.5 6.1 10.4 161.8 210.8 42.9 112.2 160.6 37.0 33.6
1979:
Jan. 21.7 38.5 6.1 10.3 163.6 218.5 42.4 112.0 162.9 33.4 43.9
Feb. 17.9 43.4 5.9 10.3 169.6 229.2 44.7 115.5 168.7 33.7 44.7
March 25.1 46.6 6.2 10.8 175.4 239.0 50.6 125.1 181.0 34.1 49.0
April 28.5 46.6 5.8 11.1 181.6 245.1 53.0 131.3 187.0 35.0 51.6
May 30.5 45.6 5.7 1 l.l 187.0 249.4 54.8 136.2 193.0 35.0 51.9
June 29.5 41.9 6.2 11.0 201.0 260.1 55.3 138.2 196.1 37.5 56.0
July 30.8 41.8 7.0 11.4 205.5 265.7 56.4 140.3 199.5 37.7 59.3
Aug. 36.0 38.9 8.3 11.2 205.9 264.3 55.4 139.6 199.7 38.8 61.6
Sept. 29.8 39.6 8.9 11.1 222.6 282.2 54.8 139.2 201.4 43.5 67.1
Oct. 33.5 34.8 9.1 11.2 233.3 288.4 57.7 143.9 207.2 45.5 69.2
Nov. 34.2 30.3 9.4 11.1 253.1 303.9 63.4 150.8 214.8 49.5 73.8
Dec. 44.3 33.1 10.8 11.5 254.4 309.8 64.4 170.0 251.9 53.7 48.5
* Consolidated accounts of the Central Bank and deposit money banks (DMB’s). ** Including foreign funds relent.
Table 5. Schedule of Interest Rates of Deposit Money Banks
June l-Aug.31 /79 Sept.l-Nov.31 /79 From Dec. 1/79
Base Price Total Price Total Price Total
rate from compen’n- interest compen'n- interest compenn- interest
/nterest rates on deposils, per cent p.a. June 1/79 factors) rate factors) rate factorS) rate
General savings deposits . . . 5.0 17.0 22.0 22.0 27.0 26.0 31.0
6 month time deposits .... 6.0 17.0 23.0 22.0 28.0 26.0 32.0
12 month and 10 year time dep. 7.5 17.0 24.5 22.0 29.5 26.0 33.5
3 month interest premium acc. 5.5 22.0 27.5 27.0 32.5 31.0 36.5
12 month interest premium acc. 7.5 27.0 34.5 32.0 39.5 36.0 43.5
Checking and overdraft acc. . . - - 5.5 11.0 11.0 15.0 15.0
/nterest rates on loans, per cent p.a.
General loans, discount rate . . 5.5 20.0 25.5 23.0 28.5 25.5 31.0
Overdrafts 5.01) 22.0 27.0 25.5 30.5n 28.0 33.0
Export produce loans2) .... - - 8.5 - 8.5 8.5
Other produce loans 3.5 17.0 20.5 20.0 23.5 22.5 26.0
Treasury guaranteed securities 5.5 22.0 27.5 25.5 31.0 28.0 33.5
Mortgages 6.5 22.0 28.5 25.5 32.0 28.0 34.5
Interest premium loans .... 8.5 27.0 35.5 31.5 40.0 34.0 42.5
lndexed securities.t) - - 2.0 - 2.0 - 2.0
Penalty interest rate4) - - 4.0 4.5 - 4.5
I) Base rate is discount ratc. 2) As of January I. 1979. the principal is linked to the exchange rate of the U.S. dollar. 3) A minimum maturity
period of four years. 4) Per cent per month. 5) Price compensation factor.