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Cash, Debt, and Guarantee Management Report

Rapport
mei 2026
Departement Financiën en Begroting
In implementation of Article 104 of the Decree of 29 March 2019 on the Flemish Public Finance Codex, this report provides an overview of the cash, debt and guarantee management of the Flemish Government in 2025. The report was drawn up in May 2026. 2025 was another very challenging year. In total, more than 10 billion euros were raised on the capital market through the issue of bonds. This required constant monitoring of both the cash position and the financial markets. The capital raised serves to finance the budget deficit, social housing, the Oosterweel project and the equity participation in Brussels Airport Company.
Publicatiedatum
Mei 2026
Publicatietype
Rapport
Thema's
Financiën en begroting