Malaysia vs Norway: 10_Insured export credit exposures, short term
Malaysia
16.09 billion BU
in 2025
Norway
17.03 billion BU
in 2025
Malaysia rank
38th
Norway rank
35th
10_Insured export credit exposures, short term over time
- Malaysia
- Norway
How they compare
Norway currently reports 17.03 billion BU against 16.09 billion BU in Malaysia, a difference of 935.00 million BU.
That makes Norway's figure about 1.1 times Malaysia's.
The two have swapped places 2 times across 21 shared years of data; in 2005 it was Norway ahead.
Malaysia ranks 38th and Norway ranks 35th of 210 countries.
Norway has averaged higher in every one of the 3 decades both report.
Head to head by decade
| Decade | Malaysia | Norway | Difference | Ahead |
|---|---|---|---|---|
| 2000s | 4.98 billion BU | 6.57 billion BU | 1.59 billion BU | Norway |
| 2010s | 8.40 billion BU | 9.42 billion BU | 1.02 billion BU | Norway |
| 2020s | 13.92 billion BU | 15.44 billion BU | 1.51 billion BU | Norway |
Averages of every year both report within each decade.
Frequently asked questions
- Which has higher 10_insured export credit exposures, short term, Malaysia or Norway?
- Norway, at 17.03 billion BU against 16.09 billion BU in Malaysia as of 2025.
- What is the difference in 10_insured export credit exposures, short term between Malaysia and Norway?
- 935.00 million BU, with Norway ahead.
- How many years of comparable data are there for Malaysia and Norway?
- 21 years are reported by both, from 2005 to 2025.
- How do Malaysia and Norway rank globally for 10_insured export credit exposures, short term?
- Malaysia ranks 38th and Norway ranks 35th of 210 countries.
- Where does this data come from?
- BIS, published as 10_Insured export credit exposures, short term (BU). Statizoid refreshes it automatically from the source and publishes the full history for both places.
Individual pages
About this data
ST refers to insured export credits with credit terms up to and including 12 months, except for transactions involving an insured manufacturing (pre-credit) risk with a risk period of more than 12 months, which are classified as medium/long-term (MLT).