Kenya - GDP deflator

GDP deflator (base year varies by country)

GDP deflator (base year varies by country) in Kenya was 123.39 as of 2020. Its highest value over the past 60 years was 123.39 in 2020, while its lowest value was 0.89 in 1960.

Definition: The GDP implicit deflator is the ratio of GDP in current local currency to GDP in constant local currency. The base year varies by country.

Source: World Bank national accounts data, and OECD National Accounts data files.

See also:

Year Value
1960 0.89
1961 0.97
1962 0.97
1963 0.95
1964 0.98
1965 0.96
1966 0.97
1967 1.00
1968 1.01
1969 1.01
1970 1.17
1971 1.06
1972 1.07
1973 1.18
1974 1.37
1975 1.53
1976 1.82
1977 2.13
1978 2.19
1979 2.32
1980 2.54
1981 2.82
1982 3.14
1983 3.51
1984 3.87
1985 4.19
1986 4.56
1987 4.80
1988 5.11
1989 5.61
1990 6.21
1991 6.99
1992 8.31
1993 10.45
1994 12.22
1995 13.60
1996 19.30
1997 21.51
1998 23.00
1999 23.97
2000 25.42
2001 25.82
2002 26.07
2003 27.68
2004 29.65
2005 31.11
2006 38.43
2007 41.55
2008 47.84
2009 61.10
2010 62.10
2011 68.35
2012 74.86
2013 80.35
2014 86.48
2015 94.47
2016 100.00
2017 107.61
2018 112.16
2019 117.31
2020 123.39

GDP deflator: linked series (base year varies by country)

The latest value for GDP deflator: linked series (base year varies by country) in Kenya was 123.39 as of 2020. Over the past 30 years, the value for this indicator has fluctuated between 123.39 in 2020 and 10.60 in 1990.

Definition: The GDP implicit deflator is calculated as the ratio of GDP in current local currency to GDP in constant local currency. This series has been linked to produce a consistent time series to counteract breaks in series over time due to changes in base years, source data and methodologies. Thus, it may not be comparable with other national accounts series in the database for historical years. The base year varies by country.

Source: World Bank staff estimates based on World Bank national accounts data archives, OECD National Accounts, and the IMF WEO database.

See also:

Year Value
1990 10.60
1991 11.92
1992 14.18
1993 17.82
1994 20.85
1995 23.19
1996 25.31
1997 28.20
1998 30.15
1999 31.42
2000 33.33
2001 33.85
2002 34.17
2003 36.29
2004 38.87
2005 40.78
2006 43.95
2007 47.53
2008 54.73
2009 61.10
2010 62.10
2011 68.35
2012 74.86
2013 80.35
2014 86.48
2015 94.47
2016 100.00
2017 107.61
2018 112.16
2019 117.31
2020 123.39

Classification

Topic: Financial Sector Indicators

Sub-Topic: Exchange rates & prices