Serbia: Regulatory capital to risk-weighted assets
(measure: percent; Source: The International Monetary Fund)
* indicates monthly or quarterly data series
Serbia: Banking system regulatory capital to risk-weighted assets
, 2002 - 2015:
For that indicator, we provide data for Serbia from 2002 to 2015. The average value for Serbia during that period was 23.37 percent with a minimum of 19.1 percent in 2011 and a maximum of 31.1 percent in 2003.
The latest value from 2015 is 20.9 percent. For comparison, the world average in 2015 based on 133
countries is 18.13 percent.
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use the country comparator to compare trends over time.