Singapore
Debt securities issues and amounts outstanding, in billions of US dollars  1
Singapore Amount outstanding Net flows Amount outstanding Gross issuance Net flows Amount outstanding
«  Q3 2018  »
Total Of which: Up to and including one year
Q1 18 Q2 18 Q2 18 Q3 18 Q3 18 Q3 18 Q3 18
Resident issuers
Total debt securities431.9   428.4
Financial corporations198.5   200.3
Non-financial corporations141.2   137.9
General government92.2   90.2
Domestic debt securities92.21.690.2
Financial corporations         
Short-term         
Long-term         
Non-financial corporations         
Short-term         
Long-term         
General government92.21.690.2
Short-term7.50.17.3
Long-term84.71.582.9
International debt securities155.314.3167.023.8-5.0161.441.0
Banks89.411.899.519.7-7.191.831.9
By currency
Local currency2.80.12.80.70.12.91.2
US dollar57.37.765.014.3-0.564.523.6
Euro7.71.28.51.51.59.90.4
Other foreign currencies21.62.823.23.1-8.214.66.8
By original maturity
Short-term30.02.932.216.5-5.526.526.5
Long-term59.48.967.33.2-1.665.35.4
By interest rate type
Fixed70.87.076.518.5-5.770.528.2
Other18.54.822.91.2-1.421.43.7
Other financial corporations38.51.439.53.72.041.45.1
By currency
Local currency2.90.12.80.10.12.90.1
US dollar28.31.629.92.91.431.34.3
Euro3.20.03.10.60.63.70.5
Other foreign currencies4.2-0.33.70.1-0.23.50.3
By original maturity
Short-term1.10.61.71.2-0.51.21.2
Long-term37.40.837.82.62.540.24.0
By interest rate type
Fixed36.91.137.53.72.039.44.7
Other1.60.42.00.00.02.00.5
Non-financial corporations27.41.128.10.30.228.23.9
By currency
Local currency6.7-0.06.4...-0.16.31.5
US dollar17.40.417.80.20.218.01.9
Euro0.10.50.6......0.60.0
Other foreign currencies3.10.23.20.20.23.30.5
By original maturity
Short-term.....................
Long-term27.41.128.10.30.228.23.9
By interest rate type
Fixed22.50.622.90.30.223.03.1
Other4.80.55.10.00.05.10.8
General government.....................
By currency
Local currency                     
US dollar.....................
Euro.....................
Other foreign currencies.....................
By original maturity
Short-term                     
Long-term.....................
By interest rate type
Fixed.....................
Other.....................
National issuers
International debt securities113.210.5121.113.2-8.2112.321.5
Banks58.57.664.49.0-10.553.614.4
By currency
US dollar28.24.032.22.3-3.528.75.7
Euro7.11.68.41.21.09.30.2
Other currencies23.21.923.95.5-8.015.68.5
By original maturity
Short-term18.53.421.07.2-8.912.012.0
Long-term40.04.343.51.8-1.641.72.4
By interest rate type
Fixed44.96.349.98.0-9.340.310.2
Other13.71.414.61.0-1.213.34.2
Other financial corporations14.70.815.22.60.916.12.2
By currency
US dollar9.20.810.02.40.910.91.9
Euro2.2...2.10.00.02.10.0
Other currencies3.30.03.20.2-0.03.10.2
By original maturity
Short-term1.10.61.71.2-0.51.21.2
Long-term13.50.213.51.51.515.01.0
By interest rate type
Fixed13.10.813.72.60.914.52.1
Other1.60.01.60.00.01.60.1
Non-financial corporations40.02.141.41.61.442.64.9
By currency
US dollar23.80.524.30.50.524.82.7
Euro2.20.52.5......2.50.0
Other currencies14.11.114.61.10.815.32.2
By original maturity
Short-term.....................
Long-term40.02.141.41.61.442.64.9
By interest rate type
Fixed33.52.135.21.61.436.33.5
Other6.5-0.06.30.00.06.21.4
 1 Total debt securities (TDS) and domestic debt securities (DDS) are reported by national authorities, while international debt securities (IDS) are defined and compiled by the BIS from commercial data sources. Due to differences in definitions and valuation, the amounts for TDS may differ from the sum of DDS and IDS.