Debt, residual maturity between 1 and 5 years with variable interest in Euro area 18 (fixed composition) as of 1 January 2014

Euro area 18 (fixed composition) as of 1 January 2014: Debt, residual maturity between 1 and 5 years with variable interest was 2.72 in 2013. ▼ Falling

Latest (2013)
2.72
Change on year
down 6.3%
Rank
2nd
of 2 groups
All-time high
4.77
in 1998
All-time low
1.91
in 2008
Years of data
19
1995–2013

Debt, residual maturity between 1 and 5 years with variable interest in Euro area 18 (fixed composition) as of 1 January 2014, 1995–2013

0123451995200420131995: 4.31996: 4.51997: 4.61998: 4.81999: 4.62000: 42001: 2.92002: 2.22003: 2.12004: 2.52005: 2.52006: 2.42007: 2.32008: 1.92009: 2.12010: 2.52011: 3.22012: 2.92013: 2.7

Source: European Central Bank.

Analysis

The most recent figure for debt, residual maturity between 1 and 5 years with variable interest in Euro area 18 (fixed composition) as of 1 January 2014 is 2.72, measured in 2013.

Compared with earlier readings it is down 6.3% on the previous year and up 27.6% over ten years.

Over the whole period, debt, residual maturity between 1 and 5 years with variable interest in Euro area 18 (fixed composition) as of 1 January 2014 peaked at 4.77 in 1998 and was at its lowest, 1.91, in 2008.

The long-run direction has been consistently falling across the 19 years of available data.

Debt, residual maturity between 1 and 5 years with variable interest in Euro area 18 (fixed composition) as of 1 January 2014, year by year

Annual values for Debt, residual maturity between 1 and 5 years with variable interest rate (General government (ESA95)-NCBs, Financial stocks at nominal value) in Euro area 18 (fixed composition) as of 1 January 2014, 1995 to 2013.
Year Value Change
1995 4.32
1996 4.48 +3.8%
1997 4.59 +2.4%
1998 4.77 +3.8%
1999 4.63 -3.0%
2000 3.99 -13.7%
2001 2.91 -27.0%
2002 2.25 -22.8%
2003 2.14 -5.1%
2004 2.49 +16.8%
2005 2.48 -0.7%
2006 2.38 -4.1%
2007 2.32 -2.3%
2008 1.91 -17.6%
2009 2.12 +10.9%
2010 2.46 +15.8%
2011 3.25 +32.2%
2012 2.91 -10.5%
2013 2.72 -6.3%

Averages by decade

DecadeAverage LowestHighest Years
1990s 4.56 4.32 4.77 5
2000s 2.5 1.91 3.99 10
2010s 2.83 2.46 3.25 4

Countries ranked near Euro area 18 (fixed composition) as of 1 January 2014

  1. 1 Greece 45.04 compare
  2. 2 Italy 6.8 compare
  3. 3 Poland 5.1 compare
  4. 4 Finland 4.97 compare
  5. 5 Slovakia 4.46 compare

See the full ranking of 22 places →

More financial sector data for Euro area 18 (fixed composition) as of 1 January 2014

All data for Euro area 18 (fixed composition) as of 1 January 2014 →

Frequently asked questions

What is debt, residual maturity between 1 and 5 years with variable interest in Euro area 18 (fixed composition) as of 1 January 2014?
Debt, residual maturity between 1 and 5 years with variable interest in Euro area 18 (fixed composition) as of 1 January 2014 was 2.72 in 2013, according to European Central Bank.
What is the highest debt, residual maturity between 1 and 5 years with variable interest recorded in Euro area 18 (fixed composition) as of 1 January 2014?
The highest recorded value was 4.77 in 1998.
What is the lowest debt, residual maturity between 1 and 5 years with variable interest recorded in Euro area 18 (fixed composition) as of 1 January 2014?
The lowest recorded value was 1.91 in 2008.
How does Euro area 18 (fixed composition) as of 1 January 2014 rank for debt, residual maturity between 1 and 5 years with variable interest?
Euro area 18 (fixed composition) as of 1 January 2014 ranks 2nd out of 2 groups with data for 2013.
Is debt, residual maturity between 1 and 5 years with variable interest rising or falling in Euro area 18 (fixed composition) as of 1 January 2014?
Over the last ten years it is up 27.6%. The long-run trend across the full record is falling.
Where does this Euro area 18 (fixed composition) as of 1 January 2014 data come from?
The figures come from European Central Bank, published as part of Debt, residual maturity between 1 and 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 between 1 and 5 years with variable interest in Euro area 18 (fixed composition) as of 1 January 2014. Statizoid, drawing on European Central Bank. Retrieved 21 September 2026, from https://financial-sector.statizoid.com/stat/debt-residual-maturity-between-1-and-5-years-with-variable-interest-rate-general/euro-area-18-fixed-composition-as-of-1-january-2014/

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About this data

Indicator
Debt, residual maturity between 1 and 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, 412 data points, 1990–2013
Last refreshed