Downloads
Files for downloads. Chronological data.

- Revenue, expense transactions and balance of other local government units (quarterly 2021)XLSX (15 kB)
- Methodological description – Fiscal data of other local government units (2021)PDF (70 kB)
- Statement of sources and uses of cash of hospitals with a legal form other than a semi-budgetary unit (4th quarter 2020)XLSX (24 kB)
- Revenue, expense transactions and balance of local semi-budgetary units (4th quarter 2020)XLSX (16 kB)
- Statement of sources and uses of cash of territorial self-governing units (4th quarter 2020)XLSX (20 kB)
- Statement of sources and uses of cash of health insurance companies 2020 - 4.quarterXLSX (17 kB)
- Presentation from the opening seminar PDF (260 kB)
- Invitation to the opening seminar on the project Strengthening public financial management and controlPDF (229 kB)
- The shareholdings of the Czech Republic - Ministry of Finance as of - February 28, 2021XLS (46 kB)
- Revenue, expense transactions and balance of other government units (monthly) - 2021XLSX (17 kB)
- The shareholdings of the Czech Republic - Ministry of Finance as of - January 31, 2021XLS (46 kB)
- Fiscal Outlook of the Czech Republic - Tables (January 2021)XLSX (221 kB)
- Fiscal Outlook of the Czech Republic (January 2021)PDF (1.1 MB)
- Issuance Terms and Conditions of "Government Bond of the Czech Republic 2021-2024, 0,00%"PDF (52 kB)
- AnalytIQ tools to assess the MoF forecasts accuracy and much more - January 2021ZIP (405 kB)
- Tables and Graphs - January 2021XLSX (975 kB)
- Macroeconomic Forecast - January 2021PDF (958 kB)
- Statement of sources and uses of cash - other central government units (December 2020)XLSX (30 kB)
- Statement of sources and uses of cash - public research institutions (December 2020)XLSX (27 kB)
- Statement of sources and uses of cash - public universities (December 2020)XLSX (31 kB)
- Statement of sources and uses of cash of state semi budgetary units (December 2020)XLSX (28 kB)
- Statement of sources and uses of cash – State funds (December 2020)XLSX (27 kB)
- Statement of sources and uses of cash – budgetary organizations (December 2020)XLSX (30 kB)
- Cash inflows, outflows and balance of health insurance companies (December 2020)XLSX (15 kB)
- The shareholdings of the Czech Republic - Ministry of Finance as of - December 31, 2020XLS (46 kB)
- Release calendar - 2021PDF (200 kB)
- The Czech Republic Funding and Debt Management Strategy for 2021PDF (907 kB)
- The shareholdings of the Czech Republic - Ministry of Finance as of - November 30, 2020XLS (47 kB)
- Survey of macroeconomic forecasts – December 2020PDF (309 kB)
- Assessment of the Fulfilment of the Maastricht Convergence Criteria and the Degree of Economic Alignment of the Czech Republic with the Euro Area (December 2020)PDF (444 kB)
Pagination
- page 1
- page 2
- page 3
- page 4
- laterpage 5
- You're currently reading 6
- earlierpage 7
- page 8
- page 9
- page 10