Debt, residual maturity above 5 years with variable interest rate in Finland

Finland: Debt, residual maturity above 5 years with variable interest rate was 8.86 in 2013. ◆ Volatile

Latest (2013)
8.86
Change on year
up 29.7%
World rank
4th
of 20 countries
All-time high
8.86
in 2013
All-time low
0.7439
in 1999
Years of data
24
1990–2013

Debt, residual maturity above 5 years with variable interest rate in Finland, 1990–2013

024681990200120131990: 1.21991: 1.51992: 1.71993: 2.91994: 4.71995: 3.61996: 2.61997: 1.61998: 1.11999: 0.7442000: 1.32001: 2.42002: 4.92003: 4.52004: 4.42005: 3.52006: 3.52007: 2.42008: 32009: 3.72010: 6.42011: 8.72012: 6.82013: 8.9

Source: European Central Bank.

Analysis

Finland recorded 8.86 for debt, residual maturity above 5 years with variable interest rate in 2013. That is the highest value across all 24 years on record.

Compared with earlier readings it is up 29.7% on the previous year and up 95.5% over ten years.

Over the whole period, debt, residual maturity above 5 years with variable interest rate in Finland peaked at 8.86 in 2013 and was at its lowest, 0.7439, in 1999.

Finland ranks 4th of 20 countries on this measure, in the top quarter.

The series is highly variable year to year, so single readings are best treated with caution.

Debt, residual maturity above 5 years with variable interest rate in Finland, year by year

Annual values for Debt, residual maturity above 5 years with variable interest rate (General government (ESA95)-NCBs, Financial stocks at nominal value) in Finland, 1990 to 2013.
Year Value Change
1990 1.18
1991 1.52 +29.4%
1992 1.72 +12.9%
1993 2.93 +70.1%
1994 4.65 +59.0%
1995 3.58 -23.0%
1996 2.62 -26.9%
1997 1.57 -40.3%
1998 1.13 -28.1%
1999 0.7439 -33.9%
2000 1.31 +75.8%
2001 2.43 +85.8%
2002 4.94 +103.4%
2003 4.53 -8.3%
2004 4.38 -3.5%
2005 3.53 -19.4%
2006 3.46 -2.0%
2007 2.4 -30.6%
2008 2.95 +23.2%
2009 3.73 +26.4%
2010 6.37 +70.4%
2011 8.69 +36.5%
2012 6.83 -21.3%
2013 8.86 +29.7%

Finland compared with similar countries

  • Finland's 8.86 is above the median for Europe & Central Asia, which is 0.9752, 9.1× the median. (19 countries reporting)
  • Finland's 8.86 is above the median for high income countries, which is 0.6523, 13.6× the median. (20 countries reporting)

Averages by decade

DecadeAverage LowestHighest Years
1990s 2.16 0.7439 4.65 10
2000s 3.37 1.31 4.94 10
2010s 7.69 6.37 8.86 4

Countries ranked near Finland

  1. 1 Cyprus 38.04 compare
  2. 2 Portugal 26.04 compare
  3. 3 Greece 11.71 compare
  4. 5 Poland 4.71 compare
  5. 6 Czechia 3.62 compare
  6. 7 Bulgaria 2.83 compare

See the full ranking of 22 places →

More financial sector data for Finland

All data for Finland →

Frequently asked questions

What is debt, residual maturity above 5 years with variable interest rate in Finland?
Debt, residual maturity above 5 years with variable interest rate in Finland was 8.86 in 2013, according to European Central Bank.
What is the highest debt, residual maturity above 5 years with variable interest rate recorded in Finland?
The highest recorded value was 8.86 in 2013.
What is the lowest debt, residual maturity above 5 years with variable interest rate recorded in Finland?
The lowest recorded value was 0.7439 in 1999.
How does Finland rank for debt, residual maturity above 5 years with variable interest rate?
Finland ranks 4th out of 20 countries with data for 2013.
Is debt, residual maturity above 5 years with variable interest rate rising or falling in Finland?
Over the last ten years it is up 95.5%. The long-run trend across the full record is volatile.
Where does this Finland data come from?
The figures come from European Central Bank, published as part of Debt, residual maturity above 5 years with variable interest rate (General government (ESA95)-NCBs, Financial stocks at nominal value). Statizoid updates them automatically from the source API.

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Debt, residual maturity above 5 years with variable interest rate in Finland. Statizoid, drawing on European Central Bank. Retrieved 21 September 2026, from https://financial-sector.statizoid.com/stat/debt-residual-maturity-above-5-years-with-variable-interest-rate-general-government-esa95/finland/

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About this data

Indicator
Debt, residual maturity above 5 years with variable interest rate (General government (ESA95)-NCBs, Financial stocks at nominal value)
Source
European Central Bank
Licence
ECB Terms and Conditions (attribution required)
Coverage
22 places, 407 data points, 1990–2013
Last refreshed