Burkina Faso - Claims on central government

Claims on central government (annual growth as % of broad money)

The value for Claims on central government (annual growth as % of broad money) in Burkina Faso was 1.06 as of 2020. As the graph below shows, over the past 57 years this indicator reached a maximum value of 24.84 in 1975 and a minimum value of -20.74 in 1974.

Definition: Claims on central government (IFS line 32AN..ZK) include loans to central government institutions net of deposits.

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

See also:

Year Value
1963 1.27
1964 0.00
1965 1.91
1966 2.65
1967 -9.82
1968 -8.51
1969 -17.43
1970 -18.33
1971 -6.59
1972 -7.01
1973 -10.61
1974 -20.74
1975 24.84
1976 -8.36
1977 -2.47
1978 12.51
1979 2.27
1980 -2.29
1981 9.26
1982 -1.54
1983 -10.52
1984 0.86
1985 -12.39
1986 -5.41
1987 -9.18
1988 -3.47
1989 -0.72
1990 -1.55
1991 13.77
1992 -0.54
1993 3.10
1994 10.08
1995 -7.31
1996 3.24
1997 8.98
1998 -0.40
1999 1.50
2000 6.59
2001 -4.99
2002 -11.96
2003 2.21
2004 -6.00
2005 1.39
2006 -7.05
2007 -10.66
2008 5.43
2009 3.16
2010 2.88
2011 -3.05
2012 -0.56
2013 4.01
2014 4.18
2015 -1.24
2016 -4.20
2017 5.55
2018 -0.21
2019 2.46
2020 1.06

Claims on central government, etc. (% GDP)

Claims on central government, etc. (% GDP) in Burkina Faso was 1.95 as of 2020. Its highest value over the past 58 years was 2.35 in 2000, while its lowest value was -5.13 in 1974.

Definition: Claims on central government (IFS line 52AN or 32AN) include loans to central government institutions net of deposits.

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

See also:

Year Value
1962 -0.06
1963 0.01
1964 0.01
1965 0.13
1966 0.28
1967 -0.32
1968 -0.80
1969 -1.80
1970 -3.03
1971 -3.35
1972 -3.53
1973 -4.17
1974 -5.13
1975 -2.44
1976 -2.98
1977 -2.78
1978 -0.99
1979 -0.62
1980 -0.83
1981 0.32
1982 0.10
1983 -1.14
1984 -0.98
1985 -2.54
1986 -3.23
1987 -4.67
1988 -4.84
1989 -4.65
1990 -4.87
1991 -2.26
1992 -2.35
1993 -1.74
1994 0.23
1995 -1.23
1996 -0.41
1997 1.50
1998 1.21
1999 1.22
2000 2.35
2001 1.28
2002 -0.62
2003 -0.27
2004 -1.56
2005 -1.13
2006 -2.27
2007 -4.00
2008 -2.57
2009 -1.81
2010 -0.99
2011 -1.55
2012 -1.51
2013 -0.43
2014 0.73
2015 0.34
2016 -1.06
2017 0.90
2018 0.76
2019 1.67
2020 1.95

Classification

Topic: Financial Sector Indicators

Sub-Topic: Assets