India Regulatory capital to risk-weighted assets - data, chart | TheGlobalEconomy.com
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India: Banking system regulatory capital to risk-weighted assets: The latest value from 2020 is 15.59 percent, an increase from 15.42 percent in 2019. In comparison, the world average is 19.63 percent, based on data from 107 countries. Historically, the average for India from 1998 to 2020 is 12.88 percent. The minimum value, 11.1 percent, was reached in 2000 while the maximum of 15.59 percent was recorded in 2020.
印度:银行业监管资本对风险加权资产比率:2020年的最新值为15.59%,较2019年的15.42%有所上升。相较之下,全球平均水平为19.63%,基于107个国家的数据。从历史数据来看,1998年至2020年间,印度的平均水平为12.88%。最低值为11.1%,出现在2000年,最高值为15.59%,记录于2020年。
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