Bosnia and Herzegovina: Regulatory capital to risk-weighted assets
(measure: percent; Source: The International Monetary Fund)
* indicates monthly or quarterly data series
Bosnia and Herzegovina: Banking system regulatory capital to risk-weighted assets
, 2000 - 2017:
For that indicator, we provide data for Bosnia and Herzegovina from 2000 to 2017. The average value for Bosnia and Herzegovina during that period was 18.15 percent with a minimum of 14.86 percent in 2015 and a maximum of 26.3 percent in 2000.
The latest value from 2017 is 15.68 percent. For comparison, the world average in 2017 based on 81
countries is 18.87 percent.
See the global rankings for that indicator or
use the country comparator to compare trends over time.