Colombia: Mutual fund assets

* indicates monthly or quarterly data series
 Colombia

Mutual fund assets, percent of GDP

 Latest value 7.58
 Year 2020
 Measure percent
 Data availability 2016 - 2020
 Average 6.69
 Min - Max 5.80 - 7.58
 Source The World Bank
For that indicator, we provide data for Colombia from 2016 to 2020. The average value for Colombia during that period was 6.69 percent with a minimum of 5.8 percent in 2016 and a maximum of 7.58 percent in 2020. The latest value from 2020 is 7.58 percent. For comparison, the world average in 2020 based on 71 countries is 182.14 percent. See the global rankings for that indicator or use the country comparator to compare trends over time.
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* indicates monthly or quarterly data series


Recent values chart
Colombia - Mutual fund assets - Recent values chart




Definition: Ratio of assets of mutual funds to GDP. A mutual fund is a type of managed collective investment scheme that pools money from many investors to purchase securities. Data taken from a variety of sources such as Investment Company Institute and national sources.


 Related indicators Latest value Reference Measure
 Stock market capitalization, percent of GDP 19.91 2022 percent
 Stock market capitalization, in dollars 106.32 2020 billion U.S. dollars
 Stock market turnover ratio 9.50 2022 percent
 Listed companies 63 2022 companies
 Stock market value traded 3.70 2020 percent
 Stock market return 0.00 2021 percent
 Stock market access for smaller firms 24.00 2020 percent
 Stock market activity for smaller firms 99.15 2020 percent
 Stock price volatility 13.69 2021 percent
 Mutual fund assets 7.58 2020 percent
 Life insurance volume 1.35 2020 percent
 Non-life insurance premium volume 1.41 2020 percent
 Pension fund assets to GDP 34.45 2020 percent
 Insurance company assets 9.12 2020 percent
 Nonbank financial institutions assets to GDP 25.69 2014 percent
 Stock market index 84.43 9/2023 points
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