Outstanding international public debt securities to GDP in Czechia

Czechia: Outstanding international public debt securities to GDP was 2.5% in 2020. ◆ Volatile

Latest (2020)
2.5%
Change on year
down 6.5%
World rank
93rd
of 116 countries
All-time high
7.9%
in 2012
All-time low
0.3%
in 2001
Years of data
27
1994–2020

Outstanding international public debt securities to GDP in Czechia, 1994–2020

024681994200720201994: 0.522 %1995: 0.416 %1996: 0.442 %1997: 0.47 %1998: 0.442 %1999: 0.367 %2000: 0.359 %2001: 0.338 %2002: 0.44 %2003: 0.649 %2004: 2.4 %2005: 2.7 %2006: 2.6 %2007: 2.4 %2008: 3 %2009: 4.8 %2010: 5.8 %2011: 5.1 %2012: 7.9 %2013: 7.7 %2014: 5 %2015: 4.9 %2016: 4.3 %2017: 4.4 %2018: 2.7 %2019: 2.6 %2020: 2.5 %

Source: Bank for International Settlements (BIS). Measured in %.

Analysis

In 2020, outstanding international public debt securities to gdp in Czechia stood at 2.5%.

The figure is down 6.5% on the previous year and down 57.1% over ten years.

Over the whole period, outstanding international public debt securities to gdp in Czechia peaked at 7.9% in 2012 and was at its lowest, 0.3%, in 2001.

That places Czechia 93rd out of 116 countries with data for 2020, putting it in the bottom quarter.

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

Outstanding international public debt securities to GDP in Czechia, year by year

Annual values for Outstanding international public debt securities to GDP (%) in Czechia, 1994 to 2020.
Year % Change
1994 0.5%
1995 0.4% -20.4%
1996 0.4% +6.4%
1997 0.5% +6.2%
1998 0.4% -6.0%
1999 0.4% -17.0%
2000 0.4% -2.1%
2001 0.3% -5.9%
2002 0.4% +30.4%
2003 0.6% +47.5%
2004 2.4% +270.3%
2005 2.7% +11.4%
2006 2.6% -2.0%
2007 2.4% -8.1%
2008 3.0% +24.7%
2009 4.8% +61.0%
2010 5.8% +19.3%
2011 5.1% -12.3%
2012 7.9% +55.8%
2013 7.7% -2.9%
2014 5.0% -34.4%
2015 4.9% -3.1%
2016 4.3% -12.3%
2017 4.4% +2.1%
2018 2.7% -37.2%
2019 2.6% -3.3%
2020 2.5% -6.5%

Averages by decade

DecadeAverage LowestHighest Years
1990s 0.4% 0.4% 0.5% 6
2000s 2.0% 0.3% 4.8% 10
2010s 5.0% 2.6% 7.9% 10
2020s 2.5% 2.5% 2.5% 1

Countries ranked near Czechia

  1. 90 Georgia 3.1% compare
  2. 91 Azerbaijan 2.9% compare
  3. 92 Germany 2.9% compare
  4. 94 Denmark 2.4% compare
  5. 95 New Zealand 2.2% compare
  6. 96 Papua New Guinea 2.1% compare

See the full ranking of 116 places →

More financial sector data for Czechia

All data for Czechia →

Frequently asked questions

What is outstanding international public debt securities to gdp in Czechia?
Outstanding international public debt securities to gdp in Czechia was 2.5% in 2020, according to Bank for International Settlements (BIS).
What is the highest outstanding international public debt securities to gdp recorded in Czechia?
The highest recorded value was 7.9% in 2012.
What is the lowest outstanding international public debt securities to gdp recorded in Czechia?
The lowest recorded value was 0.3% in 2001.
How does Czechia rank for outstanding international public debt securities to gdp?
Czechia ranks 93rd out of 116 countries with data for 2020.
Is outstanding international public debt securities to gdp rising or falling in Czechia?
Over the last ten years it is down 57.1%. The long-run trend across the full record is volatile.
Where does this Czechia data come from?
The figures come from Bank for International Settlements (BIS), published as part of Outstanding international public debt securities to GDP (%). Statizoid updates them automatically from the source API.

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Outstanding international public debt securities to GDP in Czechia. Statizoid, drawing on Bank for International Settlements (BIS). Retrieved 05 September 2026, from https://financial-sector.statizoid.com/stat/outstanding-international-public-debt-securities-to-gdp-percent/czechia/

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About this data

Indicator
Outstanding international public debt securities to GDP (%)
Unit
%
Source
Bank for International Settlements (BIS)
Licence
CC BY 4.0 (World Bank Open Data)
Coverage
116 places, 2,874 data points, 1980–2020
Last refreshed

Amount of public international debt securities (amounts outstanding), as a share of GDP. It covers long-term bonds and notes and money market instruments placed on international markets. Table 12D (international debt amount): governments / GDP. End of year data (i.e. December data) are considered for debt securities. The figures are deflated using the following methodology: {(0.5)*[Ft/P_et + Ft-1/P_et-1]}/[GDPt/P_at] where F is the level international public debt, P_e is end-of period CPI, and P_a is average annual CPI. GDP is from World Development Indicators. End-of period CPI is taken from IFS line 64M..ZF month of December (or if not available Q4). Average annual CPI is constructed from the monthly CPI figure taken from IFS line 64..ZF.