Government; financial balance sheet, market value, public sectors
收藏资源简介:
This table contains data on the general government balance sheet. The full balance is not shown: the table is limited to financial assets and liabilities. For each period, the starting and final positions and the mutations are displayed. The changes are distinguished in financial transactions and other changes. These are due to agreements between units (transactions) or have a different cause, such as revaluations or reclassifications (other changes). The data in this table have been consolidated. This means that mutual flows are eliminated. As a result, the assets and liabilities of the subsectors do not count to the assets and liabilities of the general government sector. Loans from, for example, the national government to the social security funds are part of the national government’s loans. They do not count for government loans. After all, these are loans that the government has granted to the government. The terms used are in line with the National Accounts. The national accounts are based on the international definitions of the European System of Accounts (ESA 2010). Temporary differences with the publications of the National Accounts may occur due to the fact that the published figures of the government accounts are sometimes more up-to-date. Financial assets and liabilities are presented at market value in this table. Data available from: Annual figures from 1995, quarterly figures from 1999. Status of the figures: The figures in this table have definitive status for the period 1995-2021. The 2022 and 2023 figures have provisional status. Amendments as of 22 December 2023: Figures for the third quarter of 2023 are available. In addition, figures for the second quarter of 2023 have been updated. When will there be new figures? The first figures of the most recent quarter are published three months after the end of a quarter. Subsequently, in September the first quarter, in December the second quarter and in March the first three quarters can be adjusted. The first annual figures shall be published three months after the end of the reporting year. The annual figures are then adjusted twice: six and eighteen months after the end of the reporting year. In addition, interim updates may take place to provide the European Commission with the most up-to-date government data at the end of March and at the end of September. Quarterly data shall be linked to the revised annual figures. The updated annual and quarterly figures are published each year at the end of June. Information on the revision policy of National Accounts can be found under section 3 ‘relevant articles’.
本表格涵盖一般政府资产负债表相关数据。本表未列示完整余额,仅收录金融资产与负债相关内容。各报告期内均列示期初、期末头寸及变动情况,变动分为金融交易变动与其他变动两类:前者源于各经济主体间达成的协议(即交易行为),后者则由估值重估、分类重分类等其他原因导致。 本表数据采用合并核算方式编制,即剔除内部往来流量。因此,各子部门的资产与负债不计入一般政府部门整体的资产负债规模。例如,国家政府向社会保障基金发放的贷款属于国家政府对外贷款的一部分,但不计入政府整体对外贷款口径,原因在于此类贷款属于政府体系内部的资金拆借。 本表采用的术语符合国民账户体系(National Accounts)规范。国民账户体系基于欧洲账户体系2010(ESA 2010)的国际定义制定。由于政府账户的公开数据有时更新更快,本表数据与国民账户体系公开出版物的内容可能存在临时性差异。 本表中金融资产与负债均以市场价值列示。 数据覆盖范围:1995年起的年度数据,1999年起的季度数据。 数据状态:1995-2021年期间的数据为最终核定版本;2022年及2023年的数据为暂定版本。 2023年12月22日的更新内容:已新增2023年第三季度数据,并更新了2023年第二季度数据。 最新数据发布安排: 最新季度的初始数据将于季度结束后三个月发布。后续调整安排为:9月更新第一季度数据,12月更新第二季度数据,次年3月更新前三季度数据。 年度初始数据将于报告年度结束后三个月发布,并分别于报告年度结束后6个月及18个月进行两次修订。此外,为向欧盟委员会提供最新政府账户数据,分别于每年3月末及9月末开展临时更新。 季度数据将与修订后的年度数据进行衔接。更新后的年度及季度数据将于每年6月末发布。国民账户体系修订政策的相关说明可参见第3章「相关条款」。



