Regulatory capital to risk-weighted assets in South East Asia
* indicates monthly or quarterly data series
Banking system regulatory capital to risk-weighted assets in South East Asia:
The average for 2017 based on 8 countries was 17.8 percent.The highest value was in Indonesia: 23.01 percent and the lowest value was in India: 12.82 percent. The indicator is available from 1998 to 2017. Below is a chart for all countries where data are available.
Measure: percent; Source: The International Monetary Fund