Open Budget Kenya

 

Structural Adjustment Credit Progromme - IDA Reflow - Kshs 8,198,091,776

Creditor

International Development Association

Creditor Category

Multilateral

Borrower

Government of Kenya

Borrower Category

Central Government

Date Agreement Signed

20-Jun-1996

Date Loan Matures

01-Apr-2040

Original Agreement

61,800,000 (XDR)

Revised Amount

55,400,000 (XDR)

Amount in Kshs(2023)

8,198,091,776.00

Interest Rate

0.75

Terms

Loan of Amount SDR 55,400,000. Repayable in 60 semi-annual installments commencing 1st October 2006 and ends on 1st April 2036.

Num

Year

Amount at Start

Withdrawals

Repayments

Amount at end

1

2023

(XDR) 31,024,032.00

0.00

2,215,998.00

28,808,034.00

2

2022

(XDR) 33,240,030.00

0.00

2,215,998.00

31,024,032.00

3

2021

(XDR) 35,456,028.00

0.00

2,215,998.00

33,240,030.00

4

2020

(KSH) 5,358,996,387.00

0.00

0.00

5,195,827,949.00

5

2019

(KSH) 5,669,440,355.00

0.00

317,273,149.00

5,358,996,387.00

6

2018

(KSH) 6,072,435,356.00

0.00

1,920,313,161.00

5,669,440,355.00

7

2017

(KSH) 6,267,994,349.00

0.00

1,590,860,197.00

6,072,435,356.00