Namibia - Broad money

Broad money (current LCU)

The value for Broad money (current LCU) in Namibia was 124,652,000,000 as of 2020. As the graph below shows, over the past 30 years this indicator reached a maximum value of 124,652,000,000 in 2020 and a minimum value of 1,477,419,000 in 1990.

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
1990 1,477,419,000
1991 1,925,028,000
1992 2,821,517,000
1993 3,369,131,000
1994 4,411,230,000
1995 5,407,681,000
1996 6,709,605,000
1997 7,252,350,000
1998 8,017,454,000
1999 9,580,485,000
2000 10,845,190,000
2001 11,514,170,000
2002 13,283,100,000
2003 13,561,360,000
2004 16,614,830,000
2005 17,464,520,000
2006 22,647,910,000
2007 26,302,600,000
2008 29,801,550,000
2009 47,561,610,000
2010 52,566,000,000
2011 58,708,870,000
2012 61,141,660,000
2013 68,957,840,000
2014 74,366,070,000
2015 81,136,980,000
2016 86,048,050,000
2017 98,077,550,000
2018 104,345,000,000
2019 115,336,000,000
2020 124,652,000,000

Broad money (% of GDP)

Broad money (% of GDP) in Namibia was 71.30 as of 2020. Its highest value over the past 30 years was 71.30 in 2020, while its lowest value was 20.47 in 1990.

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
1990 20.47
1991 23.26
1992 28.85
1993 31.71
1994 33.88
1995 37.47
1996 39.12
1997 37.88
1998 37.44
1999 40.54
2000 39.84
2001 37.60
2002 37.63
2003 36.39
2004 38.92
2005 37.78
2006 41.83
2007 42.18
2008 41.96
2009 62.43
2010 62.73
2011 64.22
2012 57.21
2013 58.73
2014 55.15
2015 55.57
2016 54.56
2017 57.16
2018 57.63
2019 63.88
2020 71.30

Broad money to total reserves ratio

Broad money to total reserves ratio in Namibia was 3.49 as of 2020. Its highest value over the past 28 years was 19.90 in 1992, while its lowest value was 2.72 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
1992 19.90
1993 7.71
1994 6.13
1995 6.75
1996 8.05
1997 6.28
1998 5.57
1999 5.13
2000 6.01
2001 5.71
2002 3.90
2003 5.51
2004 7.45
2005 8.77
2006 7.44
2007 4.16
2008 2.79
2009 2.72
2010 4.23
2011 4.50
2012 4.27
2013 4.68
2014 5.83
2015 3.73
2016 3.19
2017 3.03
2018 3.67
2019 3.90
2020 3.49

Broad money growth (annual %)

The value for Broad money growth (annual %) in Namibia was 8.08 as of 2020. As the graph below shows, over the past 29 years this indicator reached a maximum value of 59.59 in 2009 and a minimum value of 2.09 in 2003.

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
1991 30.30
1992 46.57
1993 19.41
1994 30.93
1995 22.59
1996 24.08
1997 8.09
1998 10.55
1999 19.50
2000 13.20
2001 6.17
2002 15.36
2003 2.09
2004 22.52
2005 5.11
2006 29.68
2007 16.14
2008 13.30
2009 59.59
2010 10.52
2011 11.69
2012 4.14
2013 12.78
2014 7.84
2015 9.10
2016 6.05
2017 13.98
2018 6.39
2019 10.53
2020 8.08

Classification

Topic: Financial Sector Indicators

Sub-Topic: Monetary holdings (liabilities)