Securities Settlement Statistics [SST]
Updated on DBnomics on March 7, 2023 (4:45 AM)
Frequency
[FREQ]
Reference area
[REF_AREA]
System in securities settlement and clearing context
[SSS_SYSTEM]
Information type in securities settlement, clearing, trading context
[SSS_INFO_TYPE]
Instrument in securities settlement, clearing and trading context
[SSS_INSTRUMENT]
Currency of transaction
[CURRENCY_TRANS]
Series denominat/spec calcul
[SERIES_DENOM]
Dataset has 18,720 series. Add search filters to narrow them.
- Annual – Austria – OeKB (WSB system) (Austria) – Non-debt ISIN codes – Securities settlement instruments other than debt – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.C00.N.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Non-debt ISIN codes o/w no price is available – Securities settlement instruments other than debt – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.C01.N.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Total participants - central bank – Not applicable – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.D00.Z.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Total participants - central counterparty (CCP) – Not applicable – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.D01.Z.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Total participants - central securirties depository (CSD) – Not applicable – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.D02.Z.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Total participants - credit institution – Not applicable – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.D03.Z.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Total participants - other – Not applicable – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.D04.Z.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Total participants – Not applicable – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.D0T.Z.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Domestic participants - central bank – Not applicable – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.D10.Z.Z0Z.Q]
- Annual – Austria – OeKB (WSB system) (Austria) – Domestic participants - central counterparty (CCP) – Not applicable – Not applicable (Z0Z) – Quantity
[ECB/SST/A.AT.OKB.D11.Z.Z0Z.Q]
Showing results 1 - 10 / 18,720
Dimension codes and labels
[FREQ] Frequency
- [A] Annual
[REF_AREA] Reference area
- [AT] Austria
- [BE] Belgium
- [BG] Bulgaria
- [CY] Cyprus
- [CZ] Czech Republic
- [DE] Germany
- [DK] Denmark
- [EE] Estonia
- [ES] Spain
- [FI] Finland
- [FR] France
- [GB] United Kingdom
- [GR] Greece
- [HU] Hungary
- [IE] Ireland
- [IT] Italy
- [LT] Lithuania
- [LU] Luxembourg
- [LV] Latvia
- [MT] Malta
- [NL] Netherlands
- [PL] Poland
- [PT] Portugal
- [RO] Romania
- [SE] Sweden
- [SI] Slovenia
- [SK] Slovakia
[SSS_SYSTEM] System in securities settlement and clearing context
- [APK] Euroclear Finland Ltd
- [BOG] BOGS (Bank of Greece)
- [BSE] BSED
- [CBF] Clearstream Banking Frankfurt (Germany)
- [CBL] Clearstream Banking Luxembourg
- [CDA] Central Depository AD (CDAD)
- [CDP] CDCP SR (Slovakia)
- [CDR] CDCR (Cyprus)
- [CIK] Euroclear Belgium
- [CRS] CRESTCo (United Kingdom)
- [CSG] Hellenic Exchanges (HELEX) (Greece)
- [CSL] Central Securities Depository of Lithuania, plc.
- [ECS] ECSD (Estonia)
- [EOC] Euroclear Bank (Belgium)
- [EOF] Euroclear France
- [EON] Euroclear Netherlands
- [GSD] Government Securities Depository (GSD)
- [IBC] Iberclear (Spain)
- [INB] Interbolsa - Sociedade Gestora de Sistemas de Liquidacao e de Sistemas Centralizados de Valores Mobiliarios S.A. (Portugal)
- [KDD] KDD (Slovenia)
- [KDP] kdpw_stream (Poland)
- [KEL] KELER (Hungary)
- [LCD] LCD-DENOS (Latvia)
- [LUX] LUX CSD
- [MSE] MSE (Malta)
- [MTI] Monte Titoli (Italy)
- [NBB] National Bank of Belgium SSS
- [NBR] NBRD
- [NBS] NBS-CR (Slovakia)
- [NCE] Nasdaq CSD SE Estonian Securities Settlement System
- [NCL] Nasdaq CSD SE Lithuanian Securities Settlement System
- [NCS] Nasdaq CSD SE Latvian Securities Settlement System
- [NDP] National Central Securities Depository (NCDCP)
- [NTM] NTMA (Ireland)
- [OKB] OeKB (WSB system) (Austria)
- [R00] Regional securities settlement and clearing system
- [RMS] RM-SYSTEM (Czech Republic)
- [RPW] RPW (Poland)
- [SBA] SCL Barcelona (Spain)
- [SBI] SCL Bilbao (Spain)
- [SCP] SCP (Czech Republic)
- [SIB] SC Depozitarul Sibex SA
- [SIT] SITEME (Banco de Portugal)
- [SKD] SKD (Czech Republic)
- [SNC] National Securities Clearing, Settlement and Depository Company (SNCDD)
- [SVA] SCL Valencia (Spain)
- [UNI] Central securities depository Prague (Czech Republic)
- [VNS] VNS (Latvia)
- [VPA] VP (Denmark)
- [VPC] Euroclear Sweden AB
- [VPL] VP Lux (Luxembourg)
[SSS_INFO_TYPE] Information type in securities settlement, clearing, trading context
- [C00] Non-debt ISIN codes
- [C01] Non-debt ISIN codes o/w no price is available
- [D00] Total participants - central bank
- [D01] Total participants - central counterparty (CCP)
- [D02] Total participants - central securirties depository (CSD)
- [D03] Total participants - credit institution
- [D04] Total participants - other
- [D0T] Total participants
- [D10] Domestic participants - central bank
- [D11] Domestic participants - central counterparty (CCP)
- [D12] Domestic participants - central securirties depository (CSD)
- [D13] Domestic participants - credit institution
- [D14] Domestic participants - other
- [D20] Non-domestic participants - central bank
- [D21] Non-domestic participants - central counterparty (CCP)
- [D22] Non-domestic participants - central securities depository (CSD)
- [D23] Non-domestic participants - credit institution
- [D24] Non-domestic participants - other
- [R00] Issues and redemptions
- [R01] Issues
- [R02] Redemptions
- [S00] Securities held in acounts (total)
- [S01] Securities held in accounts by source, reporting CSD
- [S02] Securities held in accounts by source, other than reporting CSD
- [S03] Securities held in accounts by source, other than reporting CSD, another CSD
- [S04] Securities held in accounts by source, other than reporting CSD, custodian bank
- [S11] Securities held in accounts by use, another CSD
- [S12] Securities held in accounts by use, other participants
- [Y00] Delivery instructions processed (total)
- [Y01] Delivery instructions processed, internal transfer (no link)
- [Y02] Delivery instructions processed, internal transfer (one link)
- [Y03] Delivery instructions processed, placing securities in another CSD
- [Y10] Delivery instructions processed on an account of a Central Counterparty (CCP) with the CSD
- [Y11] Delivery instructions processed on an account of a Central Counterparty (CCP) with the CSD, internal transfer (no link)
- [Y12] Delivery instructions processed on an account of a Central Counterparty (CCP) with the CSD, internal transfer (one link)
- [Y13] Delivery instructions processed on an account of a Central Counterparty (CCP) with the CSD, placing securities in another CSD
- [YA0] Delivery instructions processed, average value of transactions (total)
[SSS_INSTRUMENT] Instrument in securities settlement, clearing and trading context
- [A] All securities settlement instruments
- [B] Bonds
- [E] Equity
- [I] Equity, of which investment fund shares
- [N] Securities settlement instruments other than debt
- [O] Other securities settlement instruments
- [S] Short-term paper
- [Z] Not applicable
[CURRENCY_TRANS] Currency of transaction
- [EUR] Euro
- [Z01] All currencies combined
- [Z06] All currencies except EUR
- [Z0Z] Not applicable
[SERIES_DENOM] Series denominat/spec calcul
- [A] Annual growth rate
- [E] Euro
- [N] National currency
- [P] Growth rate to previous period
- [Q] Quantity