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. 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

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Definition: The capital adequacy of deposit takers. It is a ratio of total regulatory capital to its assets held, weighted according to the risk of those assets.
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