Romania: Financial markets development, depth

* indicates monthly or quarterly data series
 Romania

Financial markets development, depth

 Latest value 0.060
 Year 2021
 Measure index points
 Data availability 1980 - 2021
 Average 0.029
 Min - Max 0.004 - 0.074
 Source International Monetary Fund
For that indicator, we provide data for Romania from 1980 to 2021. The average value for Romania during that period was 0.029 index points with a minimum of 0.004 index points in 1980 and a maximum of 0.074 index points in 2006. The latest value from 2021 is 0.06 index points. For comparison, the world average in 2021 based on 157 countries is 0.255 index points. 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
Romania - Financial markets development, depth - Recent values chart

Historical chart
Romania - Financial markets development, depth - historical chart - 1980-2021




Definition: Measures the depth (size) of financial markets using the principal component methodology with the following variables: Stock market capitalization to GDP; Stocks traded to GDP; International debt securities of government to GDP; Total debt securities of financial corporations to GDP; and Total debt securities of nonfinancial corporations to GDP. See Svirydzenka, Katsiaryna (IMF, 2016) for more detail.


 Related indicators Latest value Reference Measure
 Financial development 0.275 2021 index points
 Financial institutions development 0.469 2021 index points
 Financial institutions development, depth 0.137 2021 index points
 Financial institutions development, access 0.530 2021 index points
 Financial institutions development, efficiency 0.669 2021 index points
 Financial markets development 0.071 2021 index points
 Financial markets development, depth 0.060 2021 index points
 Financial markets development, access 0.011 2021 index points
 Financial markets development, efficiency 0.142 2021 index points
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