Para este indicador, International Monetary Fund (IMF) proporciona datos para Azerbaiyán desde 1995 a 2022. El valor medio para Azerbaiyán durante ese período fue de 12.95 por ciento con un mínimo de 3.22 por ciento en 2008 y un máximo de 26.35 por ciento en 2021.
Definición: Debt is the entire stock of direct government fixed-term contractual obligations to others outstanding on a particular date. It includes domestic and foreign liabilities such as currency and money deposits, securities other than shares, and loans. It is the gross amount of government liabilities reduced by the amount of equity and financial derivatives held by the government. Because debt is a stock rather than a flow, it is measured as of a given date, usually the last day of the fiscal year.