政府财政(年度)
简介
本数据集由新加坡统计局根据会计总长署数据发布,以CSV列示2005年至2024财政年度政府财政序列,2015年起按GFSM 2014编制。适用于公共财政与收入口径研究。改编自:https://tablebuilder.singstat.gov.sg/table/TS/M130611
官方简介
来源:会计总长署。 数据最后更新:2025年9月30日 更新频率:年度 脚注:数据对应政府财政年度(当年4月1日至次年3月31日)。表式遵循IMF特殊数据公布标准国家汇总页。表中政府收入与收款范围宽于每年预算陈述可用于支出的口径;部分收入计入过去储备需总统批准方可动用。2015年4月前按GFSM 2001,之后按GFSM 2014。分项因四舍五入可能不符。 改编自:https://tablebuilder.singstat.gov.sg/table/TS/M130611
- 最近更新
- 覆盖范围
- 2005-01-01 – 2024-12-31
- 行数
- 14
- 列数
- 21
图表
当多行属于同一类别时,数值会被求和。
数据
| Data Series | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Cash Surplus/Deficit | 19282.800000 | 5775.600000 | 3657.000000 | 5204.000000 | -39342.500000 | 32232.100000 | 15174.500000 | 29898.700000 | 13879.100000 | 11004.800000 | 22358.100000 | 25262.000000 | 25320.800000 | 27366.300000 | 19621.300000 | -442.000000 | 16527.000000 | 28077.000000 | 13213.000000 | 12452.000000 |
| Net Cash Inflow From Operating Activities | 11611.300000 | -949.600000 | 505.300000 | 413.100000 | -40819.100000 | 28854.600000 | 8669.600000 | 21913.200000 | 9405.000000 | 1999.100000 | 13453.600000 | 12977.100000 | 12916.900000 | 10404.000000 | 9491.300000 | 2904.000000 | 11813.000000 | 17132.000000 | 10131.000000 | 10777.000000 |
| Cash Receipts From Operating Activities | 131350.500000 | 119634.700000 | 108341.800000 | 97873.600000 | 84141.900000 | 104256.800000 | 88408.600000 | 91960.000000 | 78511.100000 | 74243.600000 | 69972.800000 | 64750.300000 | 62931.700000 | 58454.200000 | 53450.700000 | 46741.000000 | 54560.000000 | 51007.000000 | 41577.000000 | 37598.000000 |
| Cash Payments For Operating Activities | 119739.200000 | 120584.300000 | 107836.800000 | 97460.500000 | 124961.000000 | 75402.200000 | 79739.000000 | 70046.800000 | 69106.100000 | 72244.500000 | 56519.200000 | 51773.200000 | 50014.800000 | 48050.200000 | 43959.400000 | 43837.000000 | 42747.000000 | 33875.000000 | 31446.000000 | 26821.000000 |
| Net Cash Outflow From Investments In Non-Financial Assets | -7671.500000 | -6725.100000 | -3151.700000 | -4790.900000 | -1476.600000 | -3377.500000 | -6504.900000 | -7985.500000 | -4474.100000 | -9005.700000 | -8904.500000 | -12284.900000 | -12403.900000 | -16962.300000 | -10130.000000 | 3346.000000 | -4714.000000 | -10945.000000 | -3082.000000 | -1675.000000 |
| Purchases Of Non-Financial Assets | 12149.600000 | 11081.500000 | 8920.600000 | 7886.600000 | 6005.800000 | 8095.000000 | 8087.600000 | 7888.600000 | 8040.700000 | 6536.200000 | 6021.600000 | 5264.800000 | 6032.000000 | 5903.900000 | 6171.900000 | 7380.000000 | 5003.000000 | 3783.000000 | 3259.000000 | 3975.000000 |
| Sales Of Non-Financial Assets | 19821.100000 | 17806.600000 | 12072.400000 | 12677.500000 | 7482.400000 | 11472.500000 | 14592.500000 | 15874.100000 | 12514.800000 | 15541.900000 | 14926.100000 | 17549.700000 | 18435.900000 | 22866.200000 | 16301.900000 | 4034.000000 | 9717.000000 | 14728.000000 | 6341.000000 | 5650.000000 |
| Net Cash Inflow From Financing Activities | 64544.800000 | 85180.700000 | 11229.800000 | 70539.700000 | 76287.100000 | 94156.600000 | 45029.000000 | 40393.100000 | 41994.900000 | 37566.500000 | 15453.700000 | -15314.100000 | 32447.400000 | 39364.200000 | 35170.200000 | 34810.000000 | 21315.000000 | 37728.000000 | 12797.000000 | 16408.000000 |
| Net Incurrence Of Liabilities | 66750.700000 | 87805.600000 | 14497.200000 | 69801.300000 | 73633.000000 | 94168.600000 | 44822.000000 | 37527.700000 | 43201.300000 | 40114.800000 | 14651.700000 | -14898.700000 | 29456.700000 | 36461.000000 | 31330.700000 | 36283.000000 | 20422.000000 | 32955.000000 | 8962.000000 | 11933.000000 |
| Domestic | 66750.700000 | 87805.600000 | 14497.200000 | 69801.300000 | 73633.000000 | 94168.600000 | 44822.000000 | 37527.700000 | 43201.300000 | 40114.800000 | 14651.700000 | -14898.700000 | 29456.700000 | 36461.000000 | 31330.700000 | 36283.000000 | 20422.000000 | 32955.000000 | 8962.000000 | 11933.000000 |
| Foreign | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 |
| Net Acquisition Of Financial Assets Other Than Cash | 2205.900000 | 2625.000000 | 3267.400000 | -738.400000 | -2654.100000 | 12.000000 | -207.000000 | -2865.400000 | 1206.600000 | 2548.300000 | -802.000000 | 415.400000 | -2990.700000 | -2903.200000 | -3839.500000 | 1473.000000 | -893.000000 | -4773.000000 | -3835.000000 | -4475.000000 |
| Domestic Excluding Cash | 2205.900000 | 2625.000000 | 3267.400000 | -738.400000 | -2654.100000 | 12.000000 | -207.000000 | -2865.400000 | 1206.600000 | 2548.300000 | -802.000000 | 415.400000 | -2990.700000 | -2903.200000 | -3839.500000 | 1473.000000 | -893.000000 | -4773.000000 | -3835.000000 | -4475.000000 |
| Foreign Excluding Cash | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 | 0.000000 |
字段
| 字段 | 类型 | 分类字段 |
|---|---|---|
| Data Series | Text | 否 |
| 2024 | Numeric | 否 |
| 2023 | Numeric | 否 |
| 2022 | Numeric | 否 |
| 2021 | Numeric | 否 |
| 2020 | Numeric | 否 |
| 2019 | Numeric | 否 |
| 2018 | Numeric | 否 |
| 2017 | Numeric | 否 |
| 2016 | Numeric | 否 |
| 2015 | Numeric | 否 |
| 2014 | Numeric | 否 |
| 2013 | Numeric | 否 |
| 2012 | Numeric | 否 |
| 2011 | Numeric | 否 |
| 2010 | Numeric | 否 |
| 2009 | Numeric | 否 |
| 2008 | Numeric | 否 |
| 2007 | Numeric | 否 |
| 2006 | Numeric | 否 |
| 2005 | Numeric | 否 |