NOTE: THIS DATA FILE WILL CHANGE! To improve accessibility of data for all users, we will convert this file from a text format to an html table by the end of June 2024. Title: Amount Outstanding of International Money Market instruments for All Issuers, Residence of Issuer in Oman (DISCONTINUED) Series ID: IMMIRIAOOM Source: Bank for International Settlements Release: International Debt Securities (Not a Press Release) Seasonal Adjustment: Not Seasonally Adjusted Frequency: Quarterly Units: Billions of US Dollars Date Range: 1987-01-01 to 2001-04-01 Last Updated: 2015-10-02 1:30 PM CDT Notes: This series appears in Table 14a. Source Code: Q:OM:3P:1:1:C:A:A:TO1:C:A:A:A:A:I Nationality refers to the ultimate obligor, as opposed to the immediate borrower on a residence basis, and is linked to the consolidation of assets and liabilities for related entities. Information on a nationality basis is useful to analyse potential support that might be available from the parent company and to understand links between borrowers in different countries and sectors. For example, the debts of a Cayman Islands subsidiary of a Brazilian bank may be guaranteed by the parent bank. Consistent with the approach taken in the international banking statistics, the BIS bases the nationality of an issuer on the residency of its controlling parent, regardless of any intermediate owners. (December 2012, BIS Quarterly Review, https://www.bis.org/publ/qtrpdf/r_qt1212h.pdf) Copyright, 2016, Bank for International Settlements (BIS). Terms and conditions of use are available at http://www.bis.org/terms_conditions.htm#Copyright_and_Permissions. DATE VALUE 1987-01-01 0.1000 1987-04-01 0.1000 1987-07-01 0.1000 1987-10-01 0.1000 1988-01-01 0.1890 1988-04-01 0.1930 1988-07-01 0.1130 1988-10-01 0.1870 1989-01-01 0.2180 1989-04-01 0.1630 1989-07-01 0.1700 1989-10-01 0.1560 1990-01-01 0.0830 1990-04-01 0.0920 1990-07-01 0.0210 1990-10-01 . 1991-01-01 0.0050 1991-04-01 0.0650 1991-07-01 0.1060 1991-10-01 0.1350 1992-01-01 0.1300 1992-04-01 0.1250 1992-07-01 0.1400 1992-10-01 0.1310 1993-01-01 0.1320 1993-04-01 0.1320 1993-07-01 0.1515 1993-10-01 0.1640 1994-01-01 0.2230 1994-04-01 0.1885 1994-07-01 0.2400 1994-10-01 0.2340 1995-01-01 0.2290 1995-04-01 0.2450 1995-07-01 0.2450 1995-10-01 0.2450 1996-01-01 0.2450 1996-04-01 0.2450 1996-07-01 0.2450 1996-10-01 0.2500 1997-01-01 0.2500 1997-04-01 0.2155 1997-07-01 0.2155 1997-10-01 0.1375 1998-01-01 0.1935 1998-04-01 0.2450 1998-07-01 0.2500 1998-10-01 0.0715 1999-01-01 0.0590 1999-04-01 0.2690 1999-07-01 0.2450 1999-10-01 0.1475 2000-01-01 0.1700 2000-04-01 0.1410 2000-07-01 0.1350 2000-10-01 0.1295 2001-01-01 0.1655 2001-04-01 0.0985