## figure1-16 (dataset overview)

## Source details

**Canonical URL:** [figure1-16 (dataset overview)](https://www.imf.org/-/media/files/publications/gfsr/2018/april/ch1/csv/figure1-16.csv)

## Other formats

- [Markdown version](/-/media/files/publications/gfsr/2018/april/ch1/csv/figure1-16.csv.md)
- [Structured JSON version](/-/media/files/publications/gfsr/2018/april/ch1/csv/figure1-16.csv.json)

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### Dataset scope and structure
- Title: Figure 1.16. Creditor Base and External Financing Vulnerabilities
- Worksheet: csv
- Row count: 64
- Column count: 15
- Key thematic panels indicated in sheet headings:
  - 1. Investor Base Risk Index: Aggregates from 24 Emerging Markets
  - 2. Public Debt Held by Nonresidents and Denominated in Foreign Currency (Share of total)
  - 4. Reserve Adequacy and External Financing Needs

### Investor Base Risk Index (panel 1) — sample statistics
- Observation date: 3/31/2004
- Median: 32.79
- Average: 32.85
- top: 38.5
- bottom: 26.51

### Public debt denomination and nonresident holdings (panel 2) — sample country entries
- Country code: ARG
  - Public debt in foreign currency: 68.19
  - Public debt held by nonresidents: 40.02

### Reserve adequacy and external financing needs (panel 4) — sample country entries
- Country code: CHN
  - Average external financing requirements, 2018-20: 7.05
  - Reserves/ARA metric: 98.73

### Notes on content coverage (as present in the file)
- The sheet aggregates measures related to creditor base risk, composition of public debt (currency and holder type), and reserve adequacy versus projected external financing needs.
- The sample rows display header labels and one observation row dated 3/31/2004 with country-level values for ARG and CHN.

*Source: figure1-16 (CSV worksheet "csv")*

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_Source: https://www.imf.org/-/media/files/publications/gfsr/2018/april/ch1/csv/figure1-16.csv_
