NOTE: THIS DATA FILE WILL CHANGE! To improve accessibility of data for all users, we will convert this file from a text format to an html table by the end of June 2024. Title: Gross Portfolio Debt Liabilities to GDP for Belarus Series ID: DDDM10BYA156NWDB Source: World Bank Release: Global Financial Development (Not a Press Release) Seasonal Adjustment: Not Seasonally Adjusted Frequency: Annual Units: Percent Date Range: 1999-01-01 to 2019-01-01 Last Updated: 2022-03-23 4:31 PM CDT Notes: Ratio of gross portfolio debt liabilities to GDP. Debt liabilities cover (1) bonds, debentures, notes, etc., and (2) money market or negotiable debt instruments. Ratio of gross portfolio debt liabilities to GDP. Debt liabilities cover (1) bonds, debentures, notes, etc., and (2) money market or negotiable debt instruments. Raw data are from the electronic version of the IMF's International Financial Statistics. IFS line 79AEDZF / GDP. Local currency GDP is from IFS (line 99B..ZF or, if not available, line 99B.CZF). Missing observations are imputed by using GDP growth rates from World Development Indicators, instead of substituting the levels. This approach ensures a smoother GDP series. (International Monetary Fund, International Financial Statistics) Source Code: GFDD.DM.10 DATE VALUE 1999-01-01 0.13055400000000000 2000-01-01 0.67000700000000000 2001-01-01 0.19992200000000002 2002-01-01 0.07194300000000000 2003-01-01 0.07405100000000000 2004-01-01 0.30594299999999996 2005-01-01 0.11155200000000000 2006-01-01 0.03652400000000000 2007-01-01 0.03092200000000000 2008-01-01 0.03473100000000000 2009-01-01 0.04511400000000000 2010-01-01 2.19563000000000000 2011-01-01 3.41470000000000000 2012-01-01 2.89362000000000000 2013-01-01 2.45857000000000000 2014-01-01 2.35240000000000000 2015-01-01 1.60341000000000000 2016-01-01 3.13682000000000000 2017-01-01 5.14586999999999950 2018-01-01 3.82569000000000030 2019-01-01 4.46521000000000000