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Production |
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Output, basic values |
184 243 |
190 635 |
203 839 |
222 746 |
241 624 |
262 268 |
267 959 |
281 315 |
Intermediate consumption |
65 617 |
66 105 |
69 952 |
75 970 |
82 436 |
92 984 |
94 377 |
96 349 |
Value added, gross |
118 626 |
124 530 |
133 887 |
146 776 |
159 188 |
169 284 |
173 582 |
184 966 |
Consumption of fixed capital |
16 165 |
16 928 |
18 380 |
20 450 |
22 488 |
24 891 |
21 699 |
22 838 |
Compensation of employees |
102 456 |
107 597 |
115 502 |
126 282 |
136 652 |
144 367 |
151 856 |
162 099 |
Taxes on production and imports |
5 |
5 |
5 |
44 |
48 |
26 |
27 |
29 |
Operating surplus |
- |
- |
- |
- |
- |
- |
- |
- |
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Allocation of primary income |
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Resources |
375 582 |
422 916 |
504 531 |
535 956 |
612 706 |
541 736 |
553 875 |
616 638 |
Operating surplus |
- |
- |
- |
- |
- |
- |
- |
- |
Taxes on production and imports |
216 915 |
232 419 |
258 693 |
280 181 |
276 717 |
276 357 |
296 776 |
310 190 |
Taxes on products |
64 663 |
68 031 |
73 051 |
77 382 |
77 466 |
77 031 |
83 214 |
85 599 |
Other taxes on production |
10 045 |
9 632 |
11 789 |
11 924 |
12 236 |
10 995 |
10 260 |
10 514 |
Taxes and duties on imports excl. VAT |
1 574 |
1 618 |
1 787 |
2 170 |
2 173 |
2 120 |
2 120 |
2 120 |
Value added and Investment taxes |
140 633 |
153 138 |
172 066 |
188 705 |
184 842 |
186 211 |
201 182 |
211 957 |
Property income |
158 004 |
190 271 |
245 427 |
254 317 |
334 304 |
261 708 |
253 302 |
302 584 |
Interest |
54 220 |
56 359 |
74 949 |
90 138 |
107 058 |
86 547 |
83 309 |
84 626 |
Dividends, etc |
103 784 |
133 912 |
170 478 |
164 179 |
227 246 |
175 161 |
169 993 |
217 958 |
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Uses |
48 962 |
48 750 |
57 318 |
48 781 |
54 465 |
59 487 |
58 922 |
56 945 |
Subsidies on products |
7 163 |
8 278 |
7 987 |
3 445 |
3 847 |
4 079 |
4 137 |
4 232 |
Other subsidies on production |
24 117 |
23 772 |
23 731 |
26 758 |
29 286 |
31 970 |
32 980 |
33 543 |
Property income |
17 682 |
16 700 |
25 600 |
18 578 |
21 332 |
23 438 |
21 805 |
19 170 |
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Financial intermediation serv. indirectly measured |
663 |
226 |
411 |
1 458 |
1 685 |
3 671 |
3 797 |
3 864 |
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Balance of primary income |
326 620 |
374 166 |
447 213 |
487 175 |
558 241 |
482 249 |
494 953 |
559 693 |
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Secondary distribution of income |
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Resources |
982 202 |
1 188 605 |
1 435 717 |
1 507 223 |
1 781 950 |
1 394 633 |
1 472 148 |
1 708 874 |
Balance of primary income |
326 620 |
374 166 |
447 213 |
487 175 |
558 241 |
482 249 |
494 953 |
559 693 |
Employees, social contributions |
65 529 |
69 051 |
73 957 |
81 068 |
88 335 |
91 538 |
94 757 |
103 287 |
Employers, social contributions |
98 842 |
104 795 |
115 267 |
125 902 |
138 545 |
143 327 |
149 071 |
157 959 |
Current taxes on income and wealth, oil activities |
131 990 |
184 929 |
218 097 |
186 637 |
247 253 |
145 641 |
175 000 |
219 300 |
Current taxes on income and wealth, other |
136 312 |
141 769 |
161 292 |
190 492 |
197 863 |
201 950 |
217 412 |
236 600 |
Current trasfers within general government |
218 659 |
309 006 |
414 909 |
432 743 |
548 782 |
326 250 |
337 019 |
428 169 |
Current transfers from public enteprises |
- |
- |
- |
- |
- |
- |
- |
- |
Current transfers from the Cenral Bank |
- |
- |
- |
- |
- |
- |
- |
- |
Other current transfers |
4 250 |
4 889 |
4 982 |
3 206 |
2 931 |
3 678 |
3 936 |
3 866 |
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Uses |
574 325 |
680 349 |
805 876 |
848 474 |
997 272 |
826 348 |
869 543 |
1 004 179 |
Pensions |
96 538 |
102 170 |
107 957 |
115 756 |
125 150 |
133 227 |
142 653 |
158 470 |
Pensions for disabled people |
46 489 |
49 594 |
53 348 |
54 448 |
58 773 |
62 726 |
57 824 |
59 145 |
Sickness benefits |
35 851 |
33 716 |
36 601 |
38 656 |
43 227 |
49 577 |
48 763 |
49 803 |
Unemployment benefits |
11 325 |
9 782 |
6 275 |
4 481 |
4 701 |
10 428 |
12 662 |
11 625 |
Other social benefits |
56 125 |
55 907 |
54 846 |
57 064 |
57 949 |
60 966 |
73 032 |
77 658 |
Current transfers within general government |
300 394 |
396 792 |
512 395 |
538 502 |
664 202 |
460 022 |
481 698 |
593 610 |
Current transfers to abroad |
13 500 |
16 115 |
17 571 |
21 569 |
23 771 |
27 292 |
29 807 |
29 018 |
Current transfers to NPISH |
12 625 |
14 920 |
15 594 |
16 630 |
17 762 |
20 399 |
21 254 |
22 831 |
Other current transfers |
1 478 |
1 353 |
1 289 |
1 368 |
1 737 |
1 711 |
1 850 |
2 019 |
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Disposable income |
407 877 |
508 256 |
629 841 |
658 749 |
784 678 |
568 285 |
602 605 |
704 695 |
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Use of disposable income |
|
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Disposable income |
407 877 |
508 256 |
629 841 |
658 749 |
784 678 |
568 285 |
602 605 |
704 695 |
Central government final consumption |
195 847 |
202 204 |
215 253 |
232 871 |
253 776 |
275 487 |
281 993 |
295 438 |
Saving |
212 030 |
306 052 |
414 588 |
425 878 |
530 902 |
292 798 |
320 612 |
409 257 |
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Redistribution of income in kind |
|
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Disposable income |
407 877 |
508 256 |
629 841 |
658 749 |
784 678 |
568 285 |
602 605 |
704 695 |
Social transfers in kind, individual consumption |
100 187 |
107 501 |
113 698 |
120 670 |
129 871 |
139 637 |
147 960 |
155 678 |
Adjusted disposable income |
307 690 |
400 755 |
516 143 |
538 079 |
654 807 |
428 648 |
454 645 |
549 017 |
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Use of adjusted disposable income |
|
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Adjusted disposable income |
307 690 |
400 755 |
516 143 |
538 079 |
654 807 |
428 648 |
454 645 |
549 017 |
Central government collective consumption |
95 660 |
94 703 |
101 555 |
112 201 |
123 905 |
135 850 |
134 033 |
139 760 |
Saving |
212 030 |
306 052 |
414 588 |
425 878 |
530 902 |
292 798 |
320 612 |
409 257 |
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Capital account |
|
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|
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|
|
|
|
|
|
|
|
|
|
Saving |
212 030 |
306 052 |
414 588 |
425 878 |
530 902 |
292 798 |
320 612 |
409 257 |
Capital transfers, net |
-161 |
-935 |
-871 |
547 |
-969 |
110 |
-83 |
-959 |
Net aqcuisiton of non-financial assets |
6 776 |
10 148 |
13 354 |
14 676 |
17 406 |
15 918 |
10 184 |
12 845 |
Gross fixed capital formation |
24 498 |
28 638 |
33 046 |
35 789 |
40 087 |
42 384 |
32 988 |
37 045 |
Consumption of fixed capital |
16 165 |
16 928 |
18 380 |
20 450 |
22 488 |
24 891 |
21 699 |
22 838 |
Net aqcuisitions of non-produced non-financial assets |
-1 557 |
-1 562 |
-1 312 |
-663 |
-193 |
-1 575 |
-1 105 |
-1 362 |
Net lending |
205 093 |
294 969 |
400 363 |
411 749 |
512 527 |
276 990 |
310 345 |
395 453 |
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