印度尼西亚 Financial System Statistics: Macroeconomic Indicator
Domestic Indicators: Currency Substitution Ratio: Foreign Currency Demand Deposits to Narrow Money Supply (M1)
Domestic Indicators: Currency Substitution Ratio: Foreign Currency Demand Deposits to Narrow Money Supply (M1)在2025-10达13.399%,相较于2025-09的13.772%有所下降。Domestic Indicators: Currency Substitution Ratio: Foreign Currency Demand Deposits to Narrow Money Supply (M1)数据按月度更新,2012-01至2025-10期间平均值为9.000%,共166份观测结果。该数据的历史最高值出现于2024-07,达630.000%,而历史最低值则出现于2013-09,为5.200%.KAI: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 13.399 2025-10 | 月度 | 2012-01 - 2025-10 |
查看图表中 2012-01 到2025-10 期间的Indonesia Domestic Indicators: Currency Substitution Ratio: Foreign Currency Demand Deposits to Narrow Money Supply (M1)
Domestic Indicators: External Debt to Export
Domestic Indicators: External Debt to Export在2023-03达118.883%,相较于2022-12的118.817%有所增长。Domestic Indicators: External Debt to Export数据按月度更新,2014-03至2023-03期间平均值为168.391%,共37份观测结果。该数据的历史最高值出现于2020-12,达214.624%,而历史最低值则出现于2022-12,为118.817%。CEIC提供的Domestic Indicators: External Debt to Export数据处于定期更新的状态,数据来源于Bank Indonesia,数据归类于Indonesia Premium Database的Monetary – Table ID.KAI002: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 121.236 2022-09 | 月度 | 2014-03 - 2022-09 |
查看图表中 2014-03 到2022-09 期间的Indonesia Domestic Indicators: External Debt to Export
Domestic Indicators: External Financial Liabilities to(GDP) Gross Domestic ProductAt Current Price
Domestic Indicators: External Financial Liabilities to GDP At Current Price在2022-12达53.207%,相较于2022-09的53.470%有所下降。Domestic Indicators: External Financial Liabilities to GDP At Current Price数据按月度更新,2013-12至2022-12期间平均值为63.796%,共37份观测结果。该数据的历史最高值出现于2016-06,达76.919%,而历史最低值则出现于2022-12,为53.207%。CEIC提供的Domestic Indicators: External Financial Liabilities to GDP At Current Price数据处于定期更新的状态,数据来源于Bank Indonesia,数据归类于Indonesia Premium Database的Monetary – Table ID.KAI002: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 53.205 2022-09 | 月度 | 2013-12 - 2022-09 |
查看图表中 2013-12 到2022-09 期间的Indonesia Domestic Indicators: External Financial Liabilities to(GDP) Gross Domestic ProductAt Current Price
Domestic Indicators: Indonesia 5-Year Credit Default Swap: Monthly
Domestic Indicators: Indonesia 5-Year Credit Default Swap: Monthly在2025-11达73.311Basis Point,相较于2025-10的73.716Basis Point有所下降。Domestic Indicators: Indonesia 5-Year Credit Default Swap: Monthly数据按月度更新,2014-01至2025-11期间平均值为365,287.000Basis Point,共143份观测结果。该数据的历史最高值出现于2025-09,达541,090.002Basis Point,而历史最低值则出现于2013-12,为190,289.950Basis Point.KAI: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 73.311 2025-11 | 月度 | 2014-01 - 2025-11 |
查看图表中 2014-01 到2025-11 期间的Indonesia Domestic Indicators: Indonesia 5-Year Credit Default Swap: Monthly
Domestic Indicators: Indonesia International Investment Position: External Financial Assets
Domestic Indicators: Indonesia International Investment Position: External Financial Assets在2022-12达449,842.600美元 百万,相较于2022-09的435,770.210美元 百万有所增长。Domestic Indicators: Indonesia International Investment Position: External Financial Assets数据按月度更新,2013-12至2022-12期间平均值为340,486.000美元 百万,共37份观测结果。该数据的历史最高值出现于2022-12,达449,842.600美元 百万,而历史最低值则出现于2013-12,为190,289.950美元 百万。CEIC提供的Domestic Indicators: Indonesia International Investment Position: External Financial Assets数据处于定期更新的状态,数据来源于Bank Indonesia,数据归类于Indonesia Premium Database的Monetary – Table ID.KAI002: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 449,842.600 2022-12 | 月度 | 2013-12 - 2022-12 |
查看图表中 2013-12 到2022-12 期间的Indonesia Domestic Indicators: Indonesia International Investment Position: External Financial Assets
Domestic Indicators: Indonesia International Investment Position: External Financial Liabilities
Domestic Indicators: Indonesia International Investment Position: External Financial Liabilities在2022-12达702,066.810美元 百万,相较于2022-09的698,382.150美元 百万有所增长。Domestic Indicators: Indonesia International Investment Position: External Financial Liabilities数据按月度更新,2013-12至2022-12期间平均值为661,711.000美元 百万,共37份观测结果。该数据的历史最高值出现于2022-03,达718,748.080美元 百万,而历史最低值则出现于2014-03,为558,803.410美元 百万。CEIC提供的Domestic Indicators: Indonesia International Investment Position: External Financial Liabilities数据处于定期更新的状态,数据来源于Bank Indonesia,数据归类于Indonesia Premium Database的Monetary – Table ID.KAI002: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 696,771.770 2022-09 | 月度 | 2013-12 - 2022-09 |
查看图表中 2013-12 到2022-09 期间的Indonesia Domestic Indicators: Indonesia International Investment Position: External Financial Liabilities
Domestic Indicators: Long Term External Debt (> 1 Year)
Domestic Indicators: Long Term External Debt (> 1 Year)在2023-03达25.206%,相较于2022-12的25.039%有所增长。Domestic Indicators: Long Term External Debt (> 1 Year)数据按月度更新,2014-03至2023-03期间平均值为29.053%,共37份观测结果。该数据的历史最高值出现于2020-12,达33.205%,而历史最低值则出现于2014-03,为24.718%。CEIC提供的Domestic Indicators: Long Term External Debt (> 1 Year)数据处于定期更新的状态,数据来源于Bank Indonesia,数据归类于Indonesia Premium Database的Monetary – Table ID.KAI002: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 25.206 2023-03 | 月度 | 2014-03 - 2023-03 |
查看图表中 2014-03 到2023-03 期间的Indonesia Domestic Indicators: Long Term External Debt (> 1 Year)
Domestic Indicators: Long Term External Debt (> 1 Year): Central Bank
Domestic Indicators: Long Term External Debt (> 1 Year): Central Bank在2023-03达0.629%,相较于2022-12的0.631%有所下降。Domestic Indicators: Long Term External Debt (> 1 Year): Central Bank数据按月度更新,2014-03至2023-03期间平均值为0.297%,共37份观测结果。该数据的历史最高值出现于2021-09,达0.794%,而历史最低值则出现于2019-12,为0.242%。CEIC提供的Domestic Indicators: Long Term External Debt (> 1 Year): Central Bank数据处于定期更新的状态,数据来源于Bank Indonesia,数据归类于Indonesia Premium Database的Monetary – Table ID.KAI002: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 0.629 2023-03 | 月度 | 2014-03 - 2023-03 |
查看图表中 2014-03 到2023-03 期间的Indonesia Domestic Indicators: Long Term External Debt (> 1 Year): Central Bank
Domestic Indicators: Long Term External Debt (> 1 Year): Government
Domestic Indicators: Long Term External Debt (> 1 Year): Government在2023-03达13.355%,相较于2022-12的13.048%有所增长。Domestic Indicators: Long Term External Debt (> 1 Year): Government数据按月度更新,2014-03至2023-03期间平均值为15.898%,共37份观测结果。该数据的历史最高值出现于2020-12,达18.144%,而历史最低值则出现于2014-03,为12.702%。CEIC提供的Domestic Indicators: Long Term External Debt (> 1 Year): Government数据处于定期更新的状态,数据来源于Bank Indonesia,数据归类于Indonesia Premium Database的Monetary – Table ID.KAI002: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 12.930 2022-09 | 月度 | 2014-03 - 2022-09 |
查看图表中 2014-03 到2022-09 期间的Indonesia Domestic Indicators: Long Term External Debt (> 1 Year): Government
Domestic Indicators: Reserves In Month of Import and Official Debt Repayment
Domestic Indicators: Reserves In Month of Import and Official Debt Repayment在2025-11达6.000月,相较于2025-10的6.000月保持不变。Domestic Indicators: Reserves In Month of Import and Official Debt Repayment数据按月度更新,2012-03至2025-11期间平均值为13.365月,共127份观测结果。该数据的历史最高值出现于2020-12,达14.792月,而历史最低值则出现于2025-09,为9.943月.KAI: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 6.000 2025-11 | 月度 | 2012-03 - 2025-11 |
查看图表中 2012-03 到2025-11 期间的Indonesia Domestic Indicators: Reserves In Month of Import and Official Debt Repayment
Domestic Indicators: Short Term External Debt (≤ 1 Year)
Domestic Indicators: Short Term External Debt (≤ 1 Year)在2023-03达4.901%,相较于2022-12的5.048%有所下降。Domestic Indicators: Short Term External Debt (≤ 1 Year)数据按月度更新,2014-03至2023-03期间平均值为5.863%,共37份观测结果。该数据的历史最高值出现于2016-06,达6.726%,而历史最低值则出现于2022-09,为4.789%。CEIC提供的Domestic Indicators: Short Term External Debt (≤ 1 Year)数据处于定期更新的状态,数据来源于Bank Indonesia,数据归类于Indonesia Premium Database的Monetary – Table ID.KAI002: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 4.901 2023-03 | 月度 | 2014-03 - 2023-03 |
查看图表中 2014-03 到2023-03 期间的Indonesia Domestic Indicators: Short Term External Debt (≤ 1 Year)
Domestic Indicators: Total Asset of Financial Sector: Non Bank Financial Institution (NBFI)
Domestic Indicators: Total Asset of Financial Sector: Non Bank Financial Institution (NBFI)在2025-02达3,473,076.684IDR bn,相较于2025-01的3,481,512.286IDR bn有所下降。Domestic Indicators: Total Asset of Financial Sector: Non Bank Financial Institution (NBFI)数据按月度更新,2014-01至2025-02期间平均值为2,482,798.036IDR bn,共134份观测结果。该数据的历史最高值出现于2025-01,达3,481,512.286IDR bn,而历史最低值则出现于2014-03,为1,567,782.000IDR bn.KAI: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 3,473,076.684 2025-02 | 月度 | 2014-01 - 2025-02 |
查看图表中 2014-01 到2025-02 期间的Indonesia Domestic Indicators: Total Asset of Financial Sector: Non Bank Financial Institution (NBFI)
International Indicators: International Commodity Price: Crude Palm Oil (CPO)
International Indicators: International Commodity Price: Crude Palm Oil (CPO)在2025-11达983.808USD/Metric Ton,相较于2025-10的1,040.223USD/Metric Ton有所下降。International Indicators: International Commodity Price: Crude Palm Oil (CPO)数据按月度更新,2014-01至2025-11期间平均值为685.566USD/Metric Ton,共143份观测结果。该数据的历史最高值出现于2022-03,达1,652.529USD/Metric Ton,而历史最低值则出现于2018-11,为435.238USD/Metric Ton.KAI: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 1,040.223 2025-10 | 月度 | 2014-01 - 2025-10 |
查看图表中 2014-01 到2025-10 期间的Indonesia International Indicators: International Commodity Price: Crude Palm Oil (CPO)
International Indicators: Japan 5-Year Credit Default Swap
International Indicators: Japan 5-Year Credit Default Swap在2025-11达21.954Basis Point,相较于2025-10的19.724Basis Point有所增长。International Indicators: Japan 5-Year Credit Default Swap数据按月度更新,2012-01至2025-11期间平均值为24.845Basis Point,共167份观测结果。该数据的历史最高值出现于2013-08,达158.082Basis Point,而历史最低值则出现于2025-02,为15.773Basis Point.KAI: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 21.954 2025-11 | 月度 | 2012-01 - 2025-11 |
查看图表中 2012-01 到2025-11 期间的Indonesia International Indicators: Japan 5-Year Credit Default Swap
International Indicators: Malaysia 5-Year Credit Default Swap
International Indicators: Malaysia 5-Year Credit Default Swap在2025-11达40.161Basis Point,相较于2025-10的38.816Basis Point有所增长。International Indicators: Malaysia 5-Year Credit Default Swap数据按月度更新,2012-01至2025-11期间平均值为79.732Basis Point,共165份观测结果。该数据的历史最高值出现于2015-09,达238.823Basis Point,而历史最低值则出现于2019-12,为34.758Basis Point.KAI: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 40.161 2025-11 | 月度 | 2012-01 - 2025-11 |
查看图表中 2012-01 到2025-11 期间的Indonesia International Indicators: Malaysia 5-Year Credit Default Swap
International Indicators: World Economic Growth
International Indicators: World Economic Growth在2025-10达3.200%,相较于2025-09的3.200%保持不变。International Indicators: World Economic Growth数据按月度更新,2012-12至2025-10期间平均值为2.800%,共30份观测结果。该数据的历史最高值出现于2021-12,达6.200%,而历史最低值则出现于2020-12,为-3.100%.KAI: Financial System Statistics: Macroeconomic Indicator。
| 数值 | 频率 | 范围 |
|---|---|---|
| 3.200 2025-10 | 月度 | 2012-12 - 2025-10 |