Eslovénia: Capital do sistema bancário sobre ativos

 Eslovénia

Capital do sistema bancário, percentagem dos ativos

 Latest value 10.61
 Reference 2019
 Measure por cento
 Source The International Monetary Fund

Para este indicador, The International Monetary Fund fornece dados para Eslovénia de 2000 a 2019. O valor médio por Eslovénia durante este período foi 8.92 por cento com o mínimo de 8.1 por cento em 2004 e o máximo de 10.69 por cento em 2018.
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* indicates monthly or quarterly data series


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Longer historical series


Definição: Ratio of bank capital and reserves to total assets. Capital and reserves include funds contributed by owners, retained earnings, general and special reserves, provisions, and valuation adjustments. Capital includes tier 1 capital (paid-up shares and common stock), which is a common feature in all countries' banking systems, and total regulatory capital, which includes several specified types of subordinated debt instruments that need not be repaid if the funds are required to maintain minimum capital levels (these comprise tier 2 and tier 3 capital). Total assets include all nonfinancial and financial assets. Reported by IMF staff. Note that due to differences in national accounting, taxation, and supervisory regimes, these data are not strictly comparable across countries.
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