Belgium vs Malaysia: Mutual fund assets to GDP

Belgium
42.1%
in 2020
Malaysia
35.8%
in 2020
Belgium rank
24th
Malaysia rank
26th

Mutual fund assets to GDP over time

  • Belgium
  • Malaysia
10203040199920092020

How they compare

Belgium currently reports 42.1% against 35.8% in Malaysia, a difference of 6.3%.

That makes Belgium's figure about 1.2 times Malaysia's.

The two have swapped places 2 times across 21 shared years of data; in 2000 it was Belgium ahead.

Belgium ranks 24th and Malaysia ranks 26th of 78 countries.

Belgium has averaged higher in every one of the 3 decades both report.

Head to head by decade

Decade Belgium Malaysia Difference Ahead
2000s 32.3% 17.1% 15.2% Belgium
2010s 31.5% 29.8% 1.7% Belgium
2020s 42.1% 35.8% 6.3% Belgium

Averages of every year both report within each decade.

Frequently asked questions

Which has higher mutual fund assets to gdp, Belgium or Malaysia?
Belgium, at 42.1% against 35.8% in Malaysia as of 2020.
What is the difference in mutual fund assets to gdp between Belgium and Malaysia?
6.3%, with Belgium ahead.
How many years of comparable data are there for Belgium and Malaysia?
21 years are reported by both, from 2000 to 2020.
How do Belgium and Malaysia rank globally for mutual fund assets to gdp?
Belgium ranks 24th and Malaysia ranks 26th of 78 countries.
Where does this data come from?
World Bank - Non banking financial database, published as Mutual fund assets to GDP (%). Statizoid refreshes it automatically from the source and publishes the full history for both places.

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Belgium vs Malaysia: Mutual fund assets to GDP. Statizoid, drawing on World Bank - Non banking financial database. Retrieved 03 September 2026, from https://financial-sector.statizoid.com/compare/mutual-fund-assets-to-gdp-percent/belgium/malaysia/

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About this data

Indicator
Mutual fund assets to GDP (%)
Unit
%
Source
World Bank - Non banking financial database
Licence
CC BY 4.0 (World Bank Open Data)
Coverage
78 places, 1,323 data points, 1993–2020
Last refreshed

Data taken from a variety of sources such as Investment Company Institute and national sources.