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"Report and Accounts for the Year 1997"



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Table 11
Money stock

End of
period

Notes and
coin1)

Deposits with the banks2)

Money stock

Year-on-year
increase
in money stock

On demand

At notice

Time deposits3)

Kr. billion

Per cent

1986

18.8

140.6

58.1

115.9

333.4

8.8

1987

20.4

149.2

45.5

128.7

343.8

3.1

1988

21.9

184.9

42.0

107.7

356.5

3.7

1989

23.1

187.8

37.1

120.0

367.9

1.0

1990

23.6

202.8

42.4

122.2

391.0

6.3

1991

24.2

224.7

36.9

93.1

379.0

4.2

1992

25.0

218.5

33.6

97.6

374.6

- 1.2

1993

25.8

246.4

29.7

114.7

416.6

11.2

1994

28.9

243.4

27.0

94.6

394.0

- 5.4

1995

30.6

251.7

31.8

96.0

410.1

4.1

1996

31.6

278.4

32.8

97.0

439.8

7.2

1996 Jan.

29.0

262.3

32.7

115.7

439.7

7.4

Feb.

28.8

260.8

32.9

108.8

431.3

8.1

March

29.7

257.9

32.7

99.5

419.7

5.4

April

30.1

279.4

32.8

110.7

453.0

8.2

May

31.0

272.4

33.0

100.3

436.7

6.1

June

31.4

266.6

32.8

96.7

427.5

5.2

July

30.6

276.7

32.9

109.5

449.7

6.0

Aug.

30.9

278.0

34.2

105.9

449.0

8.9

Sept.

30.2

274.1

33.0

103.4

440.6

7.0

Oct.

30.4

288.5

34.2

117.9

471.1

8.7

Nov.

31.4

281.5

33.1

107.6

453.5

7.9

Dec.

31.6

278.5

32.6

97.0

439.7

7.2

1997 Jan.

31.4

290.4

33.3

115.2

470.3

7.0

Feb.

31.2

284.2

33.7

110.8

459.9

6.6

March

31.4

273.5

32.5

108.1

445.5

6.1

April

31.6

290.5

32.1

111.7

465.9

2.9

May

32.4

289.6

32.0

107.6

461.6

5.7

June

32.3

284.5

31.8

101.1

449.7

5.2

July

32.2

298.7

32.0

114.9

477.7

6.2

Aug.

32.2

291.8

32.3

106.1

462.4

3.0

Sept.

31.6

290.6

31.6

99.6

453.3

2.9

Oct.

32.5

310.0

32.7

115.2

490.4

4.1

Nov.

32.6

296.4

32.8

102.6

464.4

2.4

Dec.

33.2

295.1

30.9

103.4

462.7

5.2

Note: On calculation of the rates of increase adjustment is made for breaks in series. Until end-1990 including mortgage-credit institutes' deposits with the banks.
1) Notes and coin in circulation, excluding the banks' holdings.
2) Accounts with residents in resident units in kroner and foreign exchange. Including Post Giro deposits. Excluding long-term savings schemes, apart from premium-savings accounts.
3) Including bonds, etc. with an original maturity of up to 2 years issued by banks.





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Version 1.0 May 1998 Nationalbanken.
Published by Danmarks Nationalbank May 1998, http://www.nationalbanken.dk