Year-wise Key Debt Vulnerability Ratios to gauge risk of the external debt
This dataset contains key ratios that are used to assess the vulnerability of external debt. These include External debt to GDP ratio, foreign currency reserves to external debt ratio, ratio of short term debt to total external debt, and debt service ratio.
Note: Values for 2024-25 is Provisional and for 2023-24, it is Partially Revised.
Year-wise Key Debt Vulnerability Ratios to gauge risk of the external debt
This dataset contains key ratios that are used to assess the vulnerability of external debt. These include External debt to GDP ratio, foreign currency reserves to external debt ratio, ratio of short term debt to total external debt, and debt service ratio.
Note: Values for 2024-25 is Provisional and for 2023-24, it is Partially Revised.
The fiscal year to which the external debt vulnerability ratio pertains, expressed as a spanning period (e.g., 2024-25).
category
String
4
56
The specific key external debt vulnerability indicator being measured, such as external debt to GDP, reserves coverage, short-term debt share, or debt service ratio.
value
Float64
50
56
The reported percentage value for the given external debt vulnerability ratio in the specified fiscal year.
unit
String
1
56
The unit of measurement for the reported value, expressed as a percentage.
note
String
3
8
Qualitative remarks about the data point's status, such as whether figures are provisional or partially revised.
Citation
Department of Economic Affairs. (2026). Year-wise Key Debt Vulnerability Ratios to gauge risk of the external debt [Data set]. Dataful. https://dataful.in/datasets/15230