|
Last update: 11 September 2025 [Data are updated whenever the SDDS data are released] |
The data shown in this page correspond to the data described on the International Monetary Fund's Dissemination Standards Bulletin Board (DSBB).
For a fuller explanation of the DSBB and the statistical standards to which Poland has committed, please click on DSBB Home Page.
[ Real Sector | Fiscal Sector | Financial Sector | External Sector | Population ]
[ DSBB Home Page ]
Unless otherwise indicated, data are not seasonally adjusted. Unless otherwise indicated, data are preliminary.
SDDS Data Category and Component | Unit descriptio | Observations | More info | ||
---|---|---|---|---|---|
Period of latest data |
Latest data | Data for previous period |
|||
National Accounts (GDP) 9/ | PLN million at current prices |
Q2/25 |
927 300,9 |
892 935,5 |
Metadane CSO |
* Gross value added | " |
Q2/25 |
813 904,7 |
785 095,9 |
|
** Agriculture. hunting and forestry fishing | " |
Q2/25 |
23 728,3 |
24 006,9 |
|
** Industry | " |
Q2/25 |
159 380,8 |
171 327,4 |
|
** Construction | " |
Q2/25 |
59 703,8 |
36 124,2 |
|
** Services Total | " | Q2/25 |
571 091,8 |
553 637,4 |
|
* Taxes minus subsidies on products | " |
Q2/25 |
113 396,2 |
107 839,6 |
|
* Individual consumption expenditure | " |
Q2/25 |
550 120,0 |
557 779,4 |
|
* General government and NPISHs consumption expenditure | " |
Q2/25 |
204 479,4 |
184 265,6 |
|
* Gross fixed capital formation | " |
Q2/25 |
139 846,7 |
117 670,6 |
|
* Change in inventories | " |
Q2/25 |
-971,2 |
4 643,1 |
|
* External balance of products | " |
Q2/25 |
33 674,9 |
28 392,1 |
|
National Accounts (GDP) | PLN million at annual average prices of previous year |
Q2/25 |
898 474,3 |
878 075,4 |
Metadane CSO |
* Gross value added | " |
Q2/25 |
793 196,3 |
775 738,0 |
|
** Agriculture. hunting and forestry. fishing | " |
Q2/25 |
23 603,7 |
26 623,5 |
|
** Industry | " | Q2/25 |
162 660,6 |
178 892,8 |
|
** Construction | " |
Q2/25 |
57 787,2 |
35 422,5 |
|
** Services Total | " |
Q2/25 |
549 144,8 |
537 779,2 |
|
* Taxes minus subsidies on products | " |
Q2/25 |
105 278,0 | 102 337,4 | |
* Individual consumption expenditure | " |
Q2/25 |
530 752,8 |
538 662,3 |
|
* General government and NPISHs consumption expenditure | " |
Q2/25 |
196 191,7 |
178 317,2 |
|
* Gross fixed capital formation | " |
Q2/25 |
138 081,7 |
115 820,3 |
|
* Change in inventories | " |
Q2/25 |
-925,6 |
4 446,0 |
|
* External balance of products | " |
Q2/25 |
34 227,7 |
40 650,3 |
|
Production Index 3/ 5/ | 2021 = 100 |
Jul/25 |
108,9 |
108,7 | Metadane CSO |
Employment 5/ | thousand |
Jul/25 |
6 750 | 6 761 | Metadane CSO |
Unemployment 1/ | thousand |
Jul/25 |
830,8 | 797,0 | Metadane CSO |
Wages/Earnings |
average monthly earnings PLN |
Q2/25 |
8 919,94 |
8 736,49 |
Metadane CSO |
Consumer Prices |
1998 = 100 |
Jul/25 |
267,1 | 266,3 | Metadane CSO |
Data for earlier periods | |||||
Producer Prices 3/ 5/ | 2021 = 100 |
Jul/25 |
115,9* | 116,0 | Metadane CSO |
* Preliminary data
SDDS Data Category and Component | Unit descriptio | Observations | More info | ||
---|---|---|---|---|---|
Period of latest data |
Latest data | Data for previous period |
|||
General Government or Public Sector Operations | Metadane MOF |
||||
* Revenue | PLN million | 2023 | 1 420 504 | 1 234 644 | |
* Expense | PLN million | 2023 | 1 507 802 | 1 293 779 | |
* Gross operating balance | PLN million | 2023 | -9 116 | 9 631 | |
* Net operating balance | PLN million | 2023 | -87 298 | -59 135 | |
* Net acquisition of nonfinancial assets | PLN million | 2023 | 92 637 | 47 362 | |
* Net lending/borrowing 11 | PLN million | 2023 | -179 935 | -106 497 | |
* Net Acquisition of Financial Assets | PLN million | 2023 | 55 108 | 3 511 | |
** Foreign | PLN million | 2023 | 26 230 | 27 590 | |
** Domestic | PLN million | 2023 | 28 878 | -24 079 | |
* Net Incurrence of Liabilities | PLN million | 2023 | 238 717 | 104 099 | |
** Foreign | PLN million | 2023 | 74 074 | 26 719 | |
** Domestic | PLN million | 2023 | 164 643 | 77 380 | |
Central Government Operations 2/ 3/ | Metadane MOF |
||||
* Cash receipts from operating activities | PLN million | Jun/2025 | 86 788 | 96 026 | |
* Cash payments for operating activities | PLN million | Jun/2025 | 98 893 | 111 461 | |
* Net cash inflow from operating activities | PLN million | Jun/2025 | -12 105 | -15 435 | |
* Net acquistion of nonfinacial assets | PLN million | Jun/2025 | 1 136 | 966 | |
* Cash surplus or deficit | PLN million | Jun/2025 | -13 241 | -16 401 | |
* Net acquition of financial assets other then cash | PLN million | Jun/2025 | 2 042 | 3 018 | |
**Domestic | PLN million | Jun/2025 | 1 556 | 2 981 | |
** Foregin | PLN million | Jun/2025 | 486 | 37 | |
* Net incurrence of liabilities | PLN million | Jun/2025 | 34 477 | 22 216 | |
**Domestic | PLN million | Jun/2025 | 30 224 | 24 512 | |
** Foregin | PLN million | Jun/2025 | 4 253 | -2 296 | |
* Net change in the stock of cash | PLN million | Jun/2025 | 19 194 | 2 797 | |
Domestic State Treasury Debt |
Metadane MOF |
||||
* Domestic State Treasury debt by original maturity | PLN million | Jun/2025 | 1 431 557,1 | 1 396 138,3 | |
** Short term domestic debt in treasury securities (one year and less) | PLN million | Jun/2025 | 144 123,5 | 146 348,9 | |
** Medium term domestic debt in treasury securities (more than one year including five years) | PLN million | Jun/2025 | 849 061,9 | 843 596,7 | |
** Long term domestic debt in treasury securities (more than five years) | PLN million | Jun/2025 | 347 964,0 | 324 005,4 | |
** Other domestic debt of the State Treasury | PLN million | Jun/2025 | 90 407,7 | 82 187,3 | |
* State Treasury Domestic Debt by holder | PLN million | Jun/2025 | 1 431 557,1 | 1 396 138,3 | |
** Central bank | PLN million | Jun/2025 | 66 486,0 | 66 486,0 | |
** Other domestic banks | PLN million | Jun/2025 | 631 599,1 | 618 109,3 | |
** Domestic non-banking sector | PLN million | Jun/2025 | 571 053,6 | 554 301,0 | |
** Foreign investors | PLN million | Jun/2025 | 162 418,4 | 157 242,1 | |
* Debt guaranteed by the government of the Republic of Poland | PLN million |
Q2/25 |
260 629,3 | 251 171,3 | |
Foreign State Treasury Debt |
Metadane MOF |
||||
* Foreign State Treasury debt by original maturity | PLN million | Jun/2025 | 371 547,65 | 376 362,06 | |
** Short term foreign debt (up to 1 year maturity) | PLN million | Jun/2025 | 27 942,67 | 26 446,77 | |
** Medium term foreign debt (more than 1 year 5 year maturity) | PLN million | Jun/2025 | 90 879,76 | 93 998,08 | |
** Long term foreign debt (more than 5 year maturity) | PLN million | Jun/2025 | 252 725,21 | 255 917,20 | |
* Foreign State Treasury debt by type of security and by holder | PLN million | Jun/2025 | 371 547,65 | 376 362,06 | |
** Treasury Bonds | PLN million | Jun/2025 | 217 226,07 | 221 052,07 | |
*** Foreign Bonds | PLN million | Jun/2025 | - | - | |
*** Brady Bonds | PLN million | Jun/2025 | - | - | |
** Loans | PLN million | Jun/2025 | 153 862,34 | 154 726,69 | |
*** Paris Club | PLN million | Jun/2025 | - | - | |
*** Europe Investment Bank | PLN million | Jun/2025 | 24 290,52 | 24 606,73 | |
*** Other | PLN million | Jun/2025 | 129 571,82 | 130 119,96 | |
** Other | PLN million | Jun/2025 | 459,24 | 583,30 | |
* Debt guaranteed by the government of the Republic of Poland | PLN million |
Q2/25 |
440 525,49 | 444 816,00 | |
Central government (State Treasury) debt according to residency criterion |
Metadane MOF |
||||
Total debt | PLN million | Jun/2025 | 1 803 104,8 | 1 772 500,4 | |
Domestic debt (to residents) | PLN million | Jun/2025 | 1 286 488,4 | 1 256 196,7 | |
* Central bank | PLN million | Jun/2025 | 66 486,0 | 66 486,0 | |
* Other domestic banks | PLN million | Jun/2025 | 642 004,4 | 627 930,4 | |
* Domestic investors outside banking system | PLN million | Jun/2025 | 577 998,0 | 561 780,2 | |
Foreign debt (to non-residents) | PLN million | Jun/2025 | 516 616,3 | 516 303,7 | |
Public debt |
Metadane MOF |
||||
Public debt | PLN million |
Q2/25 |
1 769 587,0 | 1 713 282,9 | |
* Central government debt | PLN million | Q2/25 | 1 658 265,7 | 1 600 829,1 | |
** State Treasury Debt | PLN million |
Q2/25 |
1 655 211,0 | 1 597 772,1 | |
** Other central government debt | PLN million |
Q2/25 |
3 054,7 | 3 057,0 | |
* Local government debt | PLN million |
Q2/25 |
111 308,6 | 112 441,3 | |
** Local government debt entities | PLN million | Q2/25 | 104 069,7 | 105 401,7 | |
** Other local government debt | PLN million |
Q2/25 |
7 238,9 | 7 039,6 | |
Social security sector | PLN million |
Q2/25 |
12,7 | 12,4 |
SDDS Data Category and Component | Unit description | Observations | More info | ||
---|---|---|---|---|---|
Period of latest data |
Latest data | Data for previous period |
|||
Analytical Accounts of the Banking Sector |
|||||
* Total money supply M3 | PLN million |
Jul/25 |
2 606 136,5 |
2 585 831,7 |
|
* Credit to central government, net | PLN million |
Jul/25 |
499 047,2 |
488 444,1 |
|
* Credit to the other resident sector | PLN million |
Jul/25 |
1 563 672,6 |
1 561 232,8 |
|
* Foreign assets, net | PLN million |
Jul/25 |
950 442,6 |
911 653,6 |
|
Analytical Accounts of the Central Bank 1/ |
|||||
* Reserve money |
PLN million |
Aug/25 |
537 757,1 |
546 496,2 |
|
* Domestic claims on the central government, net |
PLN million |
Aug/25 |
-12 846,1 |
-10 913,4 |
|
* Foreign assets, net |
PLN million |
Aug/25 |
849 791,9 |
849 141,5 |
|
Interest Rates 1/ | Published daily | click here for daily data | |||
Financial Soundness Indicators |
click here for data | ||||
Stock Market 1/ | Published daily | click here for daily data |
SDDS Data Category and Component |
Unit descriptio |
Observations |
More info |
||
Period of |
Latest data |
Data for |
|||
Balance of Payments |
|||||
* Current account (net) |
USD million |
Q1/2025 |
-1 234 |
-1 362 |
|
** Goods: exports |
USD million |
Q1/2025 |
89 810 |
90 198 |
|
** Goods: imports |
USD million |
Q1/2025 |
93 338 |
93 562 |
|
** Services: credit |
USD million |
Q1/2025 |
27 842 |
31 274 |
|
** Services: debit |
USD million |
Q1/2025 |
17 339 |
21 162 |
|
** Primary income: credit |
USD million |
Q1/2025 |
5 939 |
8 005 |
|
** Primary income: debit |
USD million |
Q1/2025 |
12 700 |
15 582 |
|
** Secondary income: credit |
USD million |
Q1/2025 |
2 925 |
3 658 |
|
** Secondary income: debit |
USD million |
Q1/2025 |
4 373 |
4 191 |
|
* Capital account |
USD million |
Q1/2025 |
1 527 |
-1 327 |
|
* Capital account: credit |
USD million |
Q1/2025 |
2 647 |
3 096 |
|
* Capital account: debit |
USD million |
Q1/2025 |
1 120 |
4 423 |
|
* Financial account |
USD million |
Q1/2025 |
-3 432 |
-4 698 |
|
** Direct investment – assets |
USD million |
Q1/2025 |
328 |
4 926 |
|
***Equity and investment fund shares |
USD million |
Q1/2025 |
218 |
-42 |
|
***Debt instruments |
USD million |
Q1/2025 |
110 |
4 968 |
|
** Direct investment – liabilities |
USD million |
Q1/2025 |
9 131 |
5 166 |
|
*** Equity and investment fund shares |
USD million |
Q1/2025 |
5 706 |
8 665 |
|
*** Debt instruments |
USD million |
Q1/2025 |
3 425 |
-3 499 |
|
** Portfolio investment, assets |
USD million |
Q1/2025 |
780 |
5 462 |
|
***Equity securities |
USD million |
Q1/2025 |
1 075 |
1 349 |
|
***Debt securities |
USD million |
Q1/2025 |
-295 |
4 113 |
|
** Portfolio investment, liabilities |
USD million |
Q1/2025 |
3 076 |
4 474 |
|
*** Equity securities |
USD million |
Q1/2025 |
-7 325 |
-229 |
|
***Debt securities |
USD million |
Q1/2025 |
10 401 |
4 703 |
|
** Other investment, assets |
USD million |
Q1/2025 |
3 319 |
-905 |
|
***Monetary authorities |
USD million |
Q1/2025 |
-11 |
5 |
|
***General government |
USD million |
Q1/2025 |
-547 |
5 506 |
|
***MFIs |
USD million |
Q1/2025 |
9 490 |
-5 525 |
|
***Other sectors |
USD million |
Q1/2025 |
-5 613 |
-891 |
|
** Other investment, liabilities |
USD million |
Q1/2025 |
-1 438 |
21 424 |
|
*** Monetary authorities |
USD million |
Q1/2025 |
-2 632 |
4 213 |
|
*** General government |
USD million |
Q1/2025 |
-691 |
10 821 |
|
*** MFIs |
USD million |
Q1/2025 |
-1 008 |
6 163 |
|
*** Other sectors |
USD million |
Q1/2025 |
2 893 |
227 |
|
** Financial derivatives (net) |
USD million |
Q1/2025 |
-767 |
1 988 |
|
** Official reserve assets |
USD million |
Q1/2025 |
3 677 |
14 895 |
|
* Net Errors and omissions |
USD million |
Q1/2025 |
-3 725 |
-2 009 |
|
Official reserves assets (stock at the end of period) 1/ |
USD million |
Aug/2025 |
260 945 |
255 941 |
|
Monetary gold |
USD million |
Aug/2025 |
56 457 |
54 788 |
|
SDR |
USD million |
Aug/2025 |
5 809 |
5 736 |
|
Reserve position in the IMF |
USD million |
Aug/2025 |
1 457 |
1 439 |
|
Other reserve assets |
USD million |
Aug/2025 |
197 222 |
193 978 |
|
Other claims |
USD million |
||||
Data template on international reserves and foreign currency liquidity |
Jul/2025 | ||||
Merchandise Trade |
|||||
* Total exports 3/ Current prices, FOB values |
USD million |
Jun/2025 |
33 241.2 |
33 647.2 |
|
* Total imports 3/ Current prices, CIF values |
USD million |
Jun/2025 |
32 323.9 |
34 592.1 |
|
International Investment Position |
|||||
* Total assets |
USD million |
Q1/2025 |
577 624 |
547 321 |
|
** Direct investment * |
USD million |
Q1/2025 |
111 382 |
107 991 |
|
*** Equity and investment fund shares |
USD million |
Q1/2025 |
29 895 |
29 980 |
|
*** Debt instruments |
USD million |
Q1/2025 |
81 487 |
78 011 |
|
** Portfolio investment |
USD million |
Q1/2025 |
75 820 |
71 979 |
|
*** Equity securities |
USD million |
Q1/2025 |
30 221 |
27 901 |
|
*** Debt securities |
USD million |
Q1/2025 |
45 599 |
44 078 |
|
****Bonds and notes |
USD million |
Q1/2025 |
35 637 |
33 861 |
|
****Money-market instruments |
USD million |
Q1/2025 |
9 962 |
10 217 |
|
** Financial derivatives |
USD million |
Q1/2025 |
16 117 |
15 116 |
|
** Other investment |
USD million |
Q1/2025 |
136 811 |
129 070 |
|
*** Monetary authorities |
USD million |
Q1/2025 |
42 |
51 |
|
*** General government |
USD million |
Q1/2025 |
34 010 |
33 893 |
|
***MFIs |
USD million |
Q1/2025 |
52 380 |
41 046 |
|
***Other sectors |
USD million |
Q1/2025 |
50 379 |
54 080 |
|
** Reserve assets |
USD million |
Q1/2025 |
237 494 |
223 165 |
|
* Total liabilities |
USD million |
Q1/2025 |
868 644 |
801 000 |
|
** Direct investment ** |
USD million |
Q1/2025 |
452 987 |
410 271 |
|
***Equity and investment fund shares |
USD million |
Q1/2025 |
319 105 |
285 515 |
|
*** Debt instruments |
USD million |
Q1/2025 |
133 882 |
124 756 |
|
** Portfolio investment |
USD million |
Q1/2025 |
179 227 |
161 789 |
|
*** Equity securities |
USD million |
Q1/2025 |
48 950 |
46 043 |
|
*** Debt securities |
USD million |
Q1/2025 |
130 277 |
115 746 |
|
****Bonds and notes |
USD million |
Q1/2025 |
130 228 |
115 677 |
|
****Money-market instruments |
USD million |
Q1/2025 |
49 |
69 |
|
** Financial derivatives |
USD million |
Q1/2025 |
7 850 |
7 676 |
|
** Other investment |
USD million |
Q1/2025 |
228 580 |
221 264 |
|
*** Monetary authorities |
USD million |
Q1/2025 |
24 865 |
27 000 |
|
*** General government |
USD million |
Q1/2025 |
56 734 |
55 129 |
|
***MFIs |
USD million |
Q1/2025 |
55 595 |
54 193 |
|
***Other sectors |
USD million |
Q1/2025 |
91 386 |
84 942 |
|
International investment position, net |
USD million |
Q1/2025 |
-291 020 |
-253 679 |
|
External debt |
|||||
Gross External Debt Position |
USD million |
Q1/2025 |
492 497 |
461 541 |
|
*General Government |
USD million |
Q1/2025 |
150 204 |
137 625 |
|
** Short-term |
USD million |
Q1/2025 |
5 244 |
5 533 |
|
***Currency and deposits |
USD million |
Q1/2025 |
|
|
|
*** Debt securities |
USD million |
Q1/2025 |
43 |
0 |
|
*** Loans |
USD million |
Q1/2025 |
0 |
0 |
|
***Trade credits |
USD million |
Q1/2025 |
115 |
164 |
|
***Other debt liabilities |
USD million |
Q1/2025 |
5 086 |
5 369 |
|
** Long-term |
USD million |
Q1/2025 |
144 960 |
132 092 |
|
***Special drawing rights (SDRs), Allocation |
USD million |
Q1/2025 |
|
|
|
***Currency and deposits |
USD million |
Q1/2025 |
|
|
|
***Debt securities |
USD million |
Q1/2025 |
93 427 |
82 496 |
|
*** Loans |
USD million |
Q1/2025 |
51 240 |
49 310 |
|
***Trade credits |
USD million |
Q1/2025 |
0 |
0 |
|
***Other debt liabilities |
USD million |
Q1/2025 |
293 |
286 |
|
* Monetary Authorities |
USD million |
Q1/2025 |
24 865 |
27 000 |
|
** Short-term |
USD million |
Q1/2025 |
17 913 |
20 162 |
|
*** Currency and deposits |
USD million |
Q1/2025 |
17 913 |
20 160 |
|
*** Debt securities |
USD million |
Q1/2025 |
|
|
|
*** Loans |
USD million |
Q1/2025 |
0 |
0 |
|
***Trade credits |
USD million |
Q1/2025 |
|
|
|
*** Other debt liabilities |
USD million |
Q1/2025 |
0 |
2 |
|
** Long-term |
USD million |
Q1/2025 |
6 952 |
6 838 |
|
***Special drawing rights (SDRs), Allocation |
USD million |
Q1/2025 |
6 952 |
6 838 |
|
***Currency and deposits |
USD million |
Q1/2025 |
|
|
|
***Debt securities |
USD million |
Q1/2025 |
|
|
|
*** Loans |
USD million |
Q1/2025 |
0 |
0 |
|
***Trade credits |
USD million |
Q1/2025 |
|
|
|
***Other debt liabilities |
USD million |
Q1/2025 |
0 |
0 |
|
* MIFs, except the Monetary authorities |
USD million |
Q1/2025 |
85 746 |
82 284 |
|
**Short-term |
USD million |
Q1/2025 |
19 988 |
21 427 |
|
*** Currency and deposits |
USD million |
Q1/2025 |
17 989 |
18 783 |
|
*** Debt securities |
USD million |
Q1/2025 |
0 |
0 |
|
*** Loans |
USD million |
Q1/2025 |
1 380 |
2 146 |
|
***Trade credits |
USD million |
Q1/2025 |
|
|
|
*** Other debt liabilities |
USD million |
Q1/2025 |
619 |
498 |
|
**Long-term |
USD million |
Q1/2025 |
65 758 |
60 857 |
|
***Currency and deposits |
USD million |
Q1/2025 |
2 961 |
2 756 |
|
***Debt securities |
USD million |
Q1/2025 |
30 151 |
28 091 |
|
*** Loans |
USD million |
Q1/2025 |
32 586 |
29 953 |
|
***Trade credits |
USD million |
Q1/2025 |
|
|
|
***Other debt liabilities |
USD million |
Q1/2025 |
60 |
57 |
|
* Other sectors |
USD million |
Q1/2025 |
97 800 |
89 876 |
|
**Short-term |
USD million |
Q1/2025 |
39 047 |
34 728 |
|
*** Currency and deposits |
USD million |
Q1/2025 |
0 |
0 |
|
*** Debt securities |
USD million |
Q1/2025 |
6 |
69 |
|
*** Loans |
USD million |
Q1/2025 |
7 751 |
6 286 |
|
***Trade credits |
USD million |
Q1/2025 |
28 959 |
27 168 |
|
*** Other debt liabilities |
USD million |
Q1/2025 |
2 331 |
1 205 |
|
** Long-term |
USD million |
Q1/2025 |
58 753 |
55 148 |
|
*** Currency and deposits |
USD million |
Q1/2025 |
0 |
0 |
|
*** Debt securities |
USD million |
Q1/2025 |
6 650 |
5 090 |
|
*** Loans |
USD million |
Q1/2025 |
50 555 |
48 629 |
|
***Trade credits |
USD million |
Q1/2025 |
0 |
0 |
|
***Insurance technical reserves |
USD million |
Q1/2025 |
1 148 |
1 023 |
|
*** Other debt liabilities |
USD million |
Q1/2025 |
400 |
406 |
|
* Direct Investment: Intercompany Lending |
USD million |
Q1/2025 |
133 882 |
124 756 |
|
**Direct investors in direct investment enterprises |
USD million |
Q1/2025 |
72 989 |
68 372 |
|
**Direct investment enterprises in direct investors |
USD million |
Q1/2025 |
3 687 |
3 573 |
|
** Between fellow enterprises |
USD million |
Q1/2025 |
57 206 |
52 811 |
|
Exchange rates |
Published daily |
SDDS Data Category and Component | Unit descriptio | Observations | More info | ||
---|---|---|---|---|---|
Period of latest data |
Latest data | Data for previous period |
|||
Population 3/ | thousand | Q2/25 | 37 401 | 37 436 | Metadane CSO |
Footnotes:
2/ The Ministry of Finance takes a flexibility option with respect to the timeliness of the data on Central Government Operations and General Government Operations.
5/ From 2009 onwards data are presented in accordance with Polish Classification of Activities (PKD 2007), compiled on the basis of Statistical Classification of Economic Activities in the European Community (NACE Rev.2). Data may not be fully comparable to the one previously presented according to the PKD 2004 (NACE Rev.1.1).
6/ The value of the Polish direct investment changed due to new data on remaining assets in the entities from the capital group. The other change is related to reclassification of the assets between fellow enterprises in the capital group. Previously as assets they diminished the foreign direct investment in Poland, now they are assets in the Polish direct investment abroad. Those changes are in line with changes in the international standards of the International Monetary Fund.
7/ Change in the equity in the foreign direct investment in Poland is the result of the change to market valuation. Up to date data on equity stocks were based on the estimates on the historical data. Those changes are in line with changes in the international standards of the International Monetary Fund.
9/ National Accounts data are published by NACE rev.2.
11/ Net lending/borrowing from financial transactions is not equal to net lending/borrowing from nonfinancial transactions and should be calculated as Net Acquisition of Financial Assets minus Net Incurrence of Liabilities.
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