Repository - Central government borrowing and debt

Each year, the debt management office releases a report on the central government's borrowing and debt. This report provides a detailed review of the borrowing activities from the previous year, along with a current assessment of the government’s debt status, highlighting key figures, trends, and risk factors.


Central government borrowing and debt

Publication date English Danish
February 6, 2025 Central government borrowing and debt 2024 Statens låntagning og gæld 2024
February 8, 2024 Central government borrowing and debt 2023 Statens låntagning og gæld 2023
February 9, 2023 Central government borrowing and debt 2022 Statens låntagning og gæld 2022
February 10, 2022 Central government borrowing and debt 2021 Statens låntagning og gæld 2021
February 10, 2021 Central government borrowing and debt 2020 Statens låntagning og gæld 2020
January 31, 2020 Central government borrowing and debt 2019 Statens låntagning og gæld 2019
January 31, 2019 Central government borrowing and debt 2018 Statens låntagning og gæld 2018
January 31, 2018 Central government borrowing and debt 2017 Statens låntagning og gæld 2017
January 31, 2017 Central government borrowing and debt 2016 Statens låntagning og gæld 2016
February 24, 2016 Central government borrowing and debt 2015 Statens låntagning og gæld 2015
February 26, 2015 Central government borrowing and debt 2014 Statens låntagning og gæld 2014
February 24, 2014 Central government borrowing and debt 2013 Statens låntagning og gæld 2013
February 21, 2013 Central government borrowing and debt 2012 Statens låntagning og gæld 2012
February 21, 2012 Central government borrowing and debt 2011 Statens låntagning og gæld 2011
February 22, 2011 Central government borrowing and debt 2010 Statens låntagning og gæld 2010
February 16, 2010 Central government borrowing and debt 2009 Statens låntagning og gæld 2009
February 17, 2009 Central government borrowing and debt 2008 Statens låntagning og gæld 2008
February 25, 2008 Central government borrowing and debt 2007 Statens låntagning og gæld 2007
February 23, 2007 Central government borrowing and debt 2006 Statens låntagning og gæld 2006
February 24, 2006 Central government borrowing and debt 2005 Statens låntagning og gæld 2005
February 21, 2005 Central government borrowing and debt 2004 Statens låntagning og gæld 2004
February 23, 2004 Central government borrowing and debt 2003 Statens låntagning og gæld 2003
February 25, 2003 Central government borrowing and debt 2002 Statens låntagning og gæld 2002
February 19, 2002 Central government borrowing and debt 2001 Statens låntagning og gæld 2001
February 22, 2001 Central government borrowing and debt 2000 Statens låntagning og gæld 2000

 

 

Overview of special-topic

Topic Report year Chapter / Page
Consequences of budget surpluses for government debt policy 2001

Chapter 7

p. 81

Consolidated risk management by the government 2008

Chapter 11

p. 105

Coordinated management of the exchange-rate risk of the central government and Danmarks Nationalbank 2000

Chapter 8

p. 91

Cost-at-risk 2000

Chapter 10

p. 105

Costs and benefts of issuing inflation-linked bonds 2012

Chapter 10

p. 103

Credit risk management: Transition to two-way collateral agreements 2015

Chapter 4

p. 29

Credit risks on swap counterparties 2000

Chapter 11

p. 117

Electronic trading and market-making in Danish government bonds 2002

Chapter 9

p. 107

Experience with falling central-government debt  2006

Chapter 10

p. 103

Government bond auctions 2010

Chapter 10

p. 91

Government cash management 2005

Chapter 11

p. 115

Government debt management offices in the light of the financial crisis 2008

Chapter 10

p. 95

Government debt policy in the light of falling debt: Borrowing requirement and issuance strategy 2007

Chapter I

p. 87

Government debt policy in the light of falling debt: Costs of re-establishing the market for Danish government securities 2007

Chapter II

p. 99

Government debt policy in the light of falling debt: The role of government securities in the Danish financial market 2007

Chapter III

p. 107

Implication of term premia for the central government as issuer 2013

Chapter 9

p. 99

Inflation-linked bonds  2011

Chapter 10

p. 89

Integration of the European government bond markets 2006

Chapter 12

p. 127

Interest-rate models for cost-at-risk 2001

Chapter 9

p. 105

Interest-rate models for cost-at-risk analysis 2010

Chapter 11

p. 101

Interest-rate models for cost-at-risk analysis  2005

Chapter 10

p. 99

Interest-rate risk management – new initiatives  2003

Chapter 11

p. 117

Interest-rate risk management of central government debt 2002

Chapter 10

p. 117

Issuance of government bonds 2004

Chapter 8

p. 89

Issuance of long-term government bonds 2005

Chapter 9

p. 89

Issuance strategy in the coming years  2009

Chapter 11

p. 105

Liquidity in Danish government securities 2013

Chapter 8

p. 79

Liquidity in the Danish government securities market  2002

Chapter 8

p. 93

Loan guarantees and re-lending 2004

Chapter 9

p. 101

Management of the central government's interest-rate
risk
2006

Chapter 9

p. 91

Management of the central government's interest-rate risk 2009

Chapter 10

p. 93

Market risk management in a low interest rate environment 2015

Chapter 3

p. 21

MTS Denmark and the primary dealer system for Danish government securities 2003

Chapter 9

p. 93

New market-making obligations for primary dealers 2009

Chapter 12

p. 111

On-lending and government guarantees 2014

Chapter 6

p. 45

Performance evaluation of government debt policy  2006

Chapter 11

p. 113

Recent trends in primary dealer systems 2001

Chapter 8

p. 93

Re-lending to Danish Ship Finance 2003

Chapter 10

p. 107

Scenario analyses of the government debt 2000

Chapter 9

p. 97

Sovereign credit default swaps 2012

Chapter 11

p. 117

The treasury bill programme 2003

Chapter 8

p. 81

Trends in the government debt policies of EU member states 2000

Chapter 7

p. 77

Use of swaps by the central government 2010

Chapter 12

p. 115

Note: All references are to the English version of the report.