Indicator Information


Indicators 10.5.1: Financial Soundness Indicators


Goal Type SDG
Goal 10 - Reduce inequality within and among countries
Targets 10.5 - Improve the regulation and monitoring of global financial markets and institutions and strengthen the implementation of such regulations
Indicators 10.5.1 : Financial Soundness Indicators
Data Source BB, FID
Unit ppp$
Data Frequency Annual (2015, 2016, 2017, 2018, 2019, 2020)
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Time Period Total/Disaggregation Targets Status ( ppp$ )
2015
Regulatory Tier 1 capital to assets 5.4000
Regulatory Tier 1 capital to risk- weighted assets 8.0000
Non performing loans net of provisions to capital 44.1900
Non performing loans to total gross loans 8.4000
Return on assets 1.8600
Liquid assets to short-term liabilities 51.1300
Net open position in foreign exchange to capital 4.7200
2016
Regulatory Tier 1 capital to assets 5.6300
Regulatory Tier 1 capital to risk- weighted assets 8.1400
Non performing loans net of provisions to capital 44.0800
Non performing loans to total gross loans 8.8600
Return on assets 1.2800
Liquid assets to short-term liabilities 45.9500
Net open position in foreign exchange to capital 4.9300
2017
Regulatory Tier 1 capital to assets 5.1800
Regulatory Tier 1 capital to risk- weighted assets 7.4500
Non performing loans net of provisions to capital 49.6600
Non performing loans to total gross loans 8.9000
Return on assets 1.3700
Liquid assets to short-term liabilities 34.0000
Net open position in foreign exchange to capital 3.7100
2018
Regulatory Tier 1 capital to assets 4.7400
Regulatory Tier 1 capital to risk- weighted assets 6.7700
Non performing loans net of provisions to capital 53.3600
Non performing loans to total gross loans 9.8900
Return on assets 0.8600
Liquid assets to short-term liabilities 44.4800
Net open position in foreign exchange to capital 7.4300
2019
Regulatory Tier 1 capital to assets 5.1700
Regulatory Tier 1 capital to risk- weighted assets 7.6900
Non performing loans net of provisions to capital 44.6200
Non performing loans to total gross loans 8.9000
Return on assets 1.0900
Liquid assets to short-term liabilities 38.5600
Net open position in foreign exchange to capital 6.1300
2020
Regulatory Tier 1 capital to assets 4.7700
Regulatory Tier 1 capital to risk- weighted assets 7.4200
Non performing loans net of provisions to capital 34.4900
Non performing loans to total gross loans 7.7400
Return on assets 0.7700
Liquid assets to short-term liabilities 52.4400
Net open position in foreign exchange to capital 9.9100
2021
Regulatory Tier 1 capital to assets 4.7600
Regulatory Tier 1 capital to risk- weighted assets 7.4400
Non performing loans net of provisions to capital 39.4200
Non performing loans to total gross loans 7.9700
Return on assets 0.7400
Liquid assets to short-term liabilities 48.5200
Net open position in foreign exchange to capital 6.3600
2022
Regulatory Tier 1 capital to assets 6.7000
Regulatory Tier 1 capital to risk- weighted assets 10.2600
Non performing loans net of provisions to capital 38.7600
Non performing loans to total gross loans 8.7200
Return on assets 1.3200
Liquid assets to short-term liabilities 39.3900
Net open position in foreign exchange to capital 6.5700
2023
Regulatory Tier 1 capital to assets 6.5500
Regulatory Tier 1 capital to risk- weighted assets 10.2900
Non performing loans net of provisions to capital 47.4400
Non performing loans to total gross loans 9.5700
Return on assets 1.6800
Liquid assets to short-term liabilities 38.9700
Net open position in foreign exchange to capital 6.4000
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