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Financial Sector Fiscal Sector Real Sector External Sector Advanced Release Calendar

Financial Sector

Depository Corporations Survey
SCR Million May 2018 Jun 2018 Jul 2018 Aug 2018 Sep 2018 More Info
Depository Corporations Survey DC Survey
Net foreign assets 11,716.85 11,525.29 11,267.01 11,433.46 11,374.22
Net domestic assets 8,646.06 8,823.34 8,848.97 8,725.56 9,047.42
Net claims on central government 1,940.91 1,960.43 1,958.49 1,799.59 1,877.61
Claims on parastatals 588.13 653.85 578.95 586.02 585.02
Claims on private sector 6,117.02 6,209.05 6,311.52 6,339.95 6,584.78
Broad Money, M3 1/ 16,241.80 16,421.65 16,416.30 16,321.19 16,520.51
Money, M2 9,698.99 9,772.74 9,840.89 9,736.41 9,784.71
Money, M1 4,945.68 4,975.47 5,033.18 4,995.76 4,973.28
Quasi-money 4,753.31 4,796.77 5,033.18 4,740.64 4,811.43
Foreign Currency Deposits 6,542.80 6,649.42 6,575.41 6,584.79 6,735.80
Other items net (net liabilities) 4,121.11 3,926.97 3,699.67 3,837.83 3,901.13
Central Bank Survey
SCR Million May 2018 Jun 2018 Jul 2018 Aug 2018 Sep 2018 More Info
Central Bank Survey CBS Survey
Reserve Money 2/ 3,492.09 3,353.91 3,883.61 3,611.95 3,764.48
Currency in circulation 1,268.29 1,291.87 1,284.54 1,315.22 1,311.31
Other depository corporations reserves 2,223.79 2,062.05 2,354.07 2,267.72 2,073.18
Standing Deposit Facility 0.00 0.00 245.00 29.00 380.00
Net foreign assets 7,361.58 7,174.46 7,108.98 7,161.23 7,106.75
Net domestic assets -2,140.61 -2,024.35 -1,872.08 -2,002.68 -1,846.14
Net claims on central government -2,140.61 -2,024.35 -1,872.08 -2,002.68 -1,846.14
Other items net (net liabilities) 1,765.82 1,796.20 1,353.29 1,546.60 1,496.13
Interest Rates (Volume Weighted)
Percentage ( % ) May 2018 Jun 2018 Jul 2018 Aug 2018 Sep 2018 More Info
Interest Rates (Volume Weighted) Interest Rates
Savings Deposit Rate 2.87 2.87 2.87 2.87 2.87
Time Deposit Rate
3 months to 6 months 3.38 3.78 3.75 3.67 3.67
6 months less than 12 months 4.39 4.22 4.26 4.24 4.12
Average lending rate 3/ 12.29 12.45 12.46 12.45 12.38
Treasury Bill Rate (tender issue)
Percentage ( % ) May 2018 Jun 2018 Jul 2018 Aug 2018 Sep 2018 More Info
91-day 3.70 4.26 5.49 5.41 4.84
182-day 4.99 5.14 5.72 5.76 5.27
365-day 5.28 6.20 7.01 6.66 5.84
Financial Soundness Indicators ( FSI )
Percentage ( % ) May 2018 Jun 2018 Jul 2018 Aug 2018 Sep 2018 More Info
Regulatory Tier 1 capital to risk-weighted assets 18.56 17.10 16.95 16.85 16.16 FSI
Regulatory Tier 1 capital to assets 8.76 8.18 8.27 8.36 8.22
Nonperforming loans net of provisions to capital 11.41 13.10 13.97 13.76 13.61
Nonperforming loans to total gross loans 5.73 6.02 6.14 6.20 5.98
Return on assets 3.33 3.00 2.95 3.45 3.07
Liquid assets to short-term liabilities 66.22 65.36 64.34 63.82 63.14
Net open position in foreign exchange to capital 0.88 0.28 -0.62 1.09 0.82


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Fiscal Sector

Government Budget (R million)
Monthly Apr 2018 May 2018 Jun 2018 Jul 2018 Aug 2018 More Info
Government Budget (R million)
Revenue & Grants 727.26 734.66 598.16 615.43 736.12
Total Revenue 720.15 724.26 552.85 596.00 731.44
Tax 623.06 620.71 510.65 555.43 622.33
Non-tax 97.09 103.55 42.20 40.58 109.11
Grants 7.12 10.40 45.30 19.43 4.68
Expenditure and Net Lending 628.21 577.58 543.92 835.12 612.06
Current Expenditure 598.44 527.50 493.69 728.59 567.45
Primary Current Expenditure 555.17 487.95 458.81 623.76 531.10
Wages and Salaries 180.19 177.61 169.56 181.51 177.69
Goods and Services 250.38 197.50 179.69 293.90 214.41
Interest due 43.28 39.55 34.88 104.83 36.35
External 7.88 2.95 9.85 82.83 6.64
Domestic 35.39 36.60 25.04 22.01 29.71
Subvention to state owned enterprises 0.00 0.00 0.00 0.00 0.00
Social program of Central Government 14.85 4.93 8.12 4.85 13.56
Transfers to public sector from Central Government 0.00 4.59 10.70 28.53 0.90
Benefits and approved programs of SSF 108.43 102.03 87.66 111.65 121.76
Other 1.31 1.31 3.08 3.31 2.77
Capital Expenditure 28.15 22.80 72.61 80.32 34.75
Development Grant 0.29 26.35 -24.65 16.11 7.63
Net Lending 0.00 0.00 0.17 7.47 0.43
Contingency 1.33 0.93 2.10 2.63 1.82
Stabilisation Fund 0.00 0.00 0.00 0.00 0.00
Primary balance, Accrual basis (GFS)
including grants 142.33 196.63 89.12 -114.90 160.41
in percent of GDP 0.65% 0.90% 0.41% -0.53% 0.74%
Excluding grants 135.21 186.23 43.81 -134.30 155.73
in percent of GDP 0.62% 0.86% 0.20% -0.62% 0.72%
Overall balance, Accrual basis (GFS) 99.05 157.08 54.24 -219.70 124.06
in percent of GDP 0.46% 0.72% 0.25% -1.01% 0.57%

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Real Sector

Real Sector Data
Monthly Jun 2018 Jul 2018 Aug 2018 Sep 2018 Oct 2018 More Info
Real Sector
Tourism
Visitor Arrivals 23,930 29,026 32,278 27,458 33,725
Tourism Earnings (SCR million) 4/ 564 588 632 674
Inflation rate (%)
12-month average 3.76 3.75 3.66 3.66 3.65
Year-on-year 3.01 3.13 2.78 3.27 3.43
Month-on-Month 0.22 0.41 -0.20 0.22 0.18

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External Sector

Merchandise Trade
USD Million May 2018 Jun 2018 Jul 2018 Aug 2018 Sep 2018 More Info
Trade Balance -50.35 -59.16 -31.10 -53.21 -20.84 Trades Stats
Merchandise Exports 63.22 25.80 48.20 44.00 77.99
Merchandise Imports 113.57 85.00 79.30 97.22 98.83
Trade In Services
Trade In Services SCR Million 2016/2017 TIS-FDI-FATS(Sey)
External Debt
USD Million 2017 Q2 2017 Q3 2017 Q4 2018 Q1 2018 Q2 More Info
General Government 411.40 404.10 404.80 399.65 398.42 External Debt
Short-term 0.00 0.00 0.00 0.00 0.00
Currency and deposits 0.00 0.00 0.00 0.00 0.00
Debt securities 0.00 0.00 0.00 0.00 0.00
Loans 0.00 0.00 0.00 0.00 0.00
Trade credit and advances 0.00 0.00 0.00 0.00 0.00
Other debt liabilities 0.00 0.00 0.00 0.00 0.00
Long-term 411.40 404.10 404.80 399.65 398.42
Special drawing rights (allocations) 0.00 0.00 0.00 0.00 0.00
Currency and deposits 0.00 0.00 0.00 0.00 0.00
Debt securities 156.60 148.20 148.20 139.72 139.72
Loans 254.80 255.90 256.70 259.93 258.70
Trade credit and advances 0.00 0.00 0.00 0.00 0.00
Other debt liabilities 0.00 0.00 0.00 0.00 0.00
Central Bank 60.00 60.30 58.70 59.12 55.03
Short-term 0.00 0.00 0.00 0.00 0.00
Currency and deposits 0.00 0.00 0.00 0.00 0.00
Debt securities 0.00 0.00 0.00 0.00 0.00
Loans 0.00 0.00 0.00 0.00 0.00
Trade credit and advances 0.00 0.00 0.00 0.00 0.00
Other debt liabilities 0.00 0.00 0.00 0.00 0.00
Long-term 60.00 60.30 58.70 59.12 55.03
Special drawing rights (allocations) 11.50 11.70 11.80 12.02 11.64
Currency and deposits 5.00 5.10 5.10 5.20 5.04
Debt securities 0.00 0.00 0.00 0.00 0.00
Loans 43.50 43.50 41.80 41.91 38.36
Trade credit and advances 0.00 0.00 0.00 0.00 0.00
Other debt liabilities 0.00 0.00 0.00 0.00 0.00
Deposit-Taking Corporations, except the Central Bank 96.90 85.40 87.10 97.22 113.00
Short-term 96.90 85.40 87.10 97.22 113.00
Currency and deposits 73.00 66.20 71.00 78.50 74.73
Debt securities 6.50 6.60 6.00 7.81 10.22
Loans 12.60 10.60 7.60 8.62 26.38
Trade credit and advances 0.00 0.00 0.00 0.00 0.00
Other debt liabilities 4.70 2.10 2.50 2.29 1.66
Long-term 0.00 0.00 0.00 0.00 0.00
Currency and deposits 0.00 0.00 0.00 0.00 0.00
Debt securities 0.00 0.00 0.00 0.00 0.00
Loans 0.00 0.00 0.00 0.00 0.00
Trade credit and advances 0.00 0.00 0.00 0.00 0.00
Other debt liabilities 0.00 0.00 0.00 0.00 0.00
Other Sectors 0.00 0.00 0.00 0.00 0.00
Short-term 319.80 337.00 300.70 441.57 491.25
Currency and deposits 0.00 0.00 0.00 0.00 0.00
Debt securities 0.00 0.00 0.00 0.00 0.00
Loans 18.50 7.20 3.10 2.23 2.02
Trade credit and advances 245.50 273.20 241.00 268.36 291.35
Other debt liabilities 55.80 56.60 56.60 170.98 197.87
Long-term 458.50 459.10 458.00 573.35 606.23
Currency and deposits 0.00 0.00 0.00 0.00 0.00
Debt securities 0.00 0.00 0.00 0.00 0.00
Loans 402.70 402.50 401.40 402.37 408.36
Trade credit and advances 0.00 0.00 0.00 0.00 0.00
Other debt liabilities 55.80 56.60 56.60 170.98 197.87
Direct Investment: Intercompany Lending 1,691.50 1,686.90 1,691.10 1,706.90 1,687.37
Debt liabilities of direct investment enterprises to direct investors 0.00 0.00 0.00 0.00 0.00
Debt liabilities of direct investors to direct investment enterprises 491.00 520.30 559.00 575.22 578.06
Debt liabilities to fellow enterprises 1,200.60 1,166.60 1,132.10 1,131.67 1,109.32
Gross External Debt Position 3,038.10 3,032.70 3,000.40 3,277.81 3,351.30
International Reserves Template
International Reserves Template USD September/2018 IRT
Balance of Payments
USD million 2017 Q2 2017 Q3 2017 Q4 2018 Q1 2018 Q2 More Info
BOP
Current Account (net) -85.60 -52.70 -80.50 -63.97 -87.30
Goods (net) -149.50 -148.70 -140.50 -151.97 -159.40
Credits 115.00 175.20 152.20 118.70 144.20
Debits 264.50 324.00 292.80 270.67 303.60
Services (net) 97.10 126.50 107.90 117.22 99.00
Transportation (net) -8.20 -2.00 18.00 -11.03 -15.60
Travel (net) 97.50 133.90 91.00 138.62 107.00
Insurance (net) -1.70 -2.10 -1.80 -1.76 -2.00
Royalties and license fees (net) -0.10 -0.10 -0.10 -0.06 -0.20
Construction (net) -0.50 -2.10 -2.80 -1.04 -0.20
Government services (net) 2.00 2.60 4.80 3.26 1.70
Other services (net) 5.80 -6.10 -2.20 -12.31 6.60
Primary Income (net) -26.00 -27.40 -46.20 -32.94 -23.50
Secondary Income (net) -7.20 -3.00 -1.70 3.72 -3.40
Capital Account 14.40 12.60 8.20 12.21 13.80
Financial Account -82.40 -58.30 -62.90 -38.97 -60.20
Direct investment (net) -35.10 -48.00 -86.70 -32.88 -19.80
Other investment (net) -36.90 -38.30 26.70 -1.80 -22.70
Overall Balance 6.80 -3.40 3.80 -8.17 -0.50
Financing of Overall Balance -6.80 3.40 -3.80 8.17 0.50
Reserve assets (Decrease = sign -) -6.80 3.40 -3.80 8.17 0.50
Arrears - - -

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International Investment Position
USD Million 2017 Q2 2017 Q3 2017 Q4 2018 Q1 2018 Q2 More Info
Foreign assets 3734.00 3719.56 3718.86 3764.13 3749.65 IIP
Direct Investment 857.00 842.53 820.04 810.20 788.89
Portfolio Investment 1232.00 1127.72 1128.74 1109.31 1096.21
Equity Securities 1082.00 1086.95 1091.61 1091.61 1091.61
Debt Securities 150.00 40.77 37.14 17.70 4.60
Other Investment 1100.00 1200.36 1225.38 1290.39 1311.66
Reserve Assets 545.00 548.95 544.70 554.23 552.89
Foreign Liabilities 4045.00 4217.14 4263.81 4366.22 4422.90
Direct Investment 2451.00 2548.15 2614.65 2656.77 2660.43
Portfolio Investment 227.00 219.04 218.00 210.91 215.97
Equity Securities 64.00 64.32 63.80 63.38 66.02
Debt Securities 163.00 154.72 154.20 147.53 149.95
Other Investment 1367.00 1449.95 1431.16 1498.53 1546.50
Net IIP -311.00 -497.57 -544.95 -602.09 -673.25
Exchange Rates
SCR Million May 2018 Jun 2018 Jul 2018 Aug 2018 Sep 2018 More Info
Exchange Rates 5/ Exchange Rates
Seychelles rupees per US$ 6/ 13.8810 13.8859 13.9342 13.9223 13.9358
Seychelles rupees per US$ 7/ 13.8736 13.8832 13.8874 13.9198 13.9406
Seychelles rupees per Euro 6/ 16.0120 16.2226 16.2613 16.2310 16.2752
Seychelles rupees per Euro 7/ 16.4669 16.2415 16.2587 16.1440 16.2794
Seychelles rupees per £ 6/ 18.3733 18.3070 18.1582 18.0163 18.3172
Seychelles rupees per £ 7/ 18.6457 18.3602 18.2768 17.8753 18.1254
Gross Official Reserves
USD Million May 2018 Jun 2018 Jul 2018 Aug 2018 Sep 2018 More Info
Gross official reserves 568.90 552.90 550.09 547.45 544.20 Reserve
In months of imports, c.i.f. 3.90 3.80 3.77 3.75 3.73

1. M3 (which is M2 plus foreign currency deposits) is the broadest measure of liquidity in Seychelles’ monetary survey.

2. Reserve Money is equal to Monetary Base.

3. The Average Lending Rate is the consolidated lending rate of all commercial banks at the end of the period.

4. Estimates of tourism earnings represent foreign exchange inflows into the Seychelles’ economy to tourism establishments and related businesses as reported by commercial banks and bureau de change.

5. The Exchange Rate regime was changed from a basket peg to a float as of November 1st 2008.

6. End of period data.

7. Period average data.

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