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Series Level Information
Series Key BP6.Q.N.FI.W1.S121.S1.LE.N.FA.F.F7.T.EUR._T.T.N
Title Financial Derivatives and Employee Stock Options, Financial derivatives and employee stock options
Title Complement - Quarterly- Neither seasonally adjusted nor calendar adjusted data- Finland vis-a-vis Rest of the World- sector: Central bank vis-a-vis Total economy- Closing balance sheet/Positions/Stocks- Net (Assets minus Liabilities)- Financial account- Financial Derivatives and Employee Stock Options- Financial derivatives and employee stock options- All original maturities- Euro- All currencies- Net marked to market value- Compilation methodology based on international standards
Unit Millions of Euro
Dataset BP6 : Balance of Payments and International Investment Position (BPM6)

Data Structure Definition (DSD)
Metadata page (Series and Dataset Level Information)
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CL_CONF_STATUS Observation Confidentiality
A Primary confidentiality due to small counts
C Confidential statistical information
D Secondary confidentiality set by the sender, not for publication
E Not for publication, restricted for internal use only (equivalent to the code N) until the embargo time elapses - free for publication (equivalent to the code F) after the embargo time elapses
F Free (free for publication)
G Primary confidentiality due to dominance by one or two units
M Primary confidentiality due to data declared confidential based on other measures of concentration
N Not for publication, restricted for internal use only
O Primary confidentiality due to dominance by one unit
S Secondary confidentiality set and managed by the receiver, not for publication
T Primary confidentiality due to dominance by two units

All non-Free observations are underlined.
Data Table
 - Quarterly- Neither seasonally adjusted nor calendar adjusted data- Finland vis-a-vis Rest of the World- sector: Central bank vis-a-vis Total economy- Closing balance sheet/Positions/Stocks- Net (Assets minus Liabilities)- Financial account- Financial Derivatives and Employee Stock Options- Financial derivatives and employee stock options- All original maturities- Euro- All currencies- Net marked to market value- Compilation methodology based on international standards
(Balance of Payments and International Investment Position (BPM6))
Period valueobs. status
2020-Q20Not significant (N)
2020-Q10Not significant (N)
2019-Q41Normal value (A)
2019-Q3-4Normal value (A)
2019-Q2-1Normal value (A)
2019-Q10Not significant (N)
2018-Q4-4Normal value (A)
2018-Q30Normal value (A)
2018-Q2-5Normal value (A)
2018-Q1-5Normal value (A)
2017-Q44Normal value (A)
2017-Q318Normal value (A)
2017-Q214Normal value (A)
2017-Q1-1Normal value (A)
2016-Q4322Normal value (A)
2016-Q3287Normal value (A)
2016-Q2291Normal value (A)
2016-Q138Normal value (A)
2015-Q434Normal value (A)
2015-Q316Normal value (A)
2015-Q289Normal value (A)
2015-Q192Normal value (A)
2014-Q4-1Normal value (A)
2014-Q30Not significant (N)
2014-Q20Not significant (N)
2014-Q10Normal value (A)
2013-Q41Normal value (A)
2013-Q30Not significant (N)
2013-Q20Not significant (N)
2013-Q10Not significant (N)
2012-Q41Normal value (A)
2012-Q30Not significant (N)
2012-Q20Not significant (N)
2012-Q11Normal value (A)
2011-Q40Not significant (N)
2011-Q30Not significant (N)
2011-Q20Not significant (N)
2011-Q15Normal value (A)
2010-Q40Not significant (N)
2010-Q30Not significant (N)
2010-Q2-1Normal value (A)
2010-Q10Not significant (N)
2009-Q43Normal value (A)
2009-Q3-4Normal value (A)
2009-Q20Not significant (N)
2009-Q10Normal value (A)
2008-Q4-1Normal value (A)
2008-Q30Normal value (A)
2008-Q21Normal value (A)
2008-Q10Not significant (N)
2007-Q41Normal value (A)
2007-Q30Not significant (N)
2007-Q20Normal value (A)
2007-Q11Normal value (A)
2006-Q41Normal value (A)
2006-Q30Not significant (N)
2006-Q21Normal value (A)
2006-Q11Normal value (A)