Nonbank financial institutions’ assets to GDP in Colombia

Colombia: Nonbank financial institutions’ assets to GDP was 25.7% in 2014. ◆ Volatile

Latest (2014)
25.7%
Change on year
down 4.3%
World rank
21st
of 84 countries
All-time high
28.8%
in 2010
All-time low
0.0%
in 1992
Years of data
24
1991–2014

Nonbank financial institutions’ assets to GDP in Colombia, 1991–2014

01020301991200220141991: 0.008 %1992: 0.001 %1993: 0.771 %1994: 0.823 %1995: 0.965 %1996: 1.1 %1997: 1.2 %1998: 2.1 %1999: 3.3 %2000: 2.5 %2001: 2.2 %2002: 2.1 %2003: 1.3 %2004: 1.1 %2005: 0.837 %2006: 0.414 %2007: 0.476 %2008: 0.569 %2009: 26.9 %2010: 28.8 %2011: 26.3 %2012: 27.9 %2013: 26.9 %2014: 25.7 %

Source: International Financial Statistics (IFS), International Monetary Fund (IMF). Measured in %.

Analysis

Colombia recorded 25.7% for nonbank financial institutions’ assets to gdp in 2014.

The figure is down 4.3% on the previous year and up 2,201.2% over ten years.

Over the whole period, nonbank financial institutions’ assets to gdp in Colombia peaked at 28.8% in 2010 and was at its lowest, 0.0%, in 1992.

That places Colombia 21st out of 84 countries with data for 2014, putting it in the top quarter.

The series is highly variable year to year, so single readings are best treated with caution.

Nonbank financial institutions’ assets to GDP in Colombia, year by year

Annual values for Nonbank financial institutions’ assets to GDP (%) in Colombia, 1991 to 2014.
Year % Change
1991 0.0%
1992 0.0% -86.9%
1993 0.8% +76495.5%
1994 0.8% +6.7%
1995 1.0% +17.3%
1996 1.1% +10.0%
1997 1.2% +13.4%
1998 2.1% +71.4%
1999 3.3% +58.4%
2000 2.5% -25.0%
2001 2.2% -12.1%
2002 2.1% -2.0%
2003 1.3% -40.4%
2004 1.1% -11.4%
2005 0.8% -25.0%
2006 0.4% -50.5%
2007 0.5% +15.1%
2008 0.6% +19.6%
2009 26.9% +4626.2%
2010 28.8% +7.1%
2011 26.3% -8.8%
2012 27.9% +6.2%
2013 26.9% -3.8%
2014 25.7% -4.3%

Averages by decade

DecadeAverage LowestHighest Years
1990s 1.1% 0.0% 3.3% 9
2000s 3.8% 0.4% 26.9% 10
2010s 27.1% 25.7% 28.8% 5

Countries ranked near Colombia

  1. 18 Brunei Darussalam 28.3% compare
  2. 19 Brazil 27.5% compare
  3. 20 Maldives 26.9% compare
  4. 22 Mexico 22.9% compare
  5. 23 New Zealand 22.7%
  6. 24 Costa Rica 20.4% compare

See the full ranking of 84 places →

More financial sector data for Colombia

All data for Colombia →

Frequently asked questions

What is nonbank financial institutions’ assets to gdp in Colombia?
Nonbank financial institutions’ assets to gdp in Colombia was 25.7% in 2014, according to International Financial Statistics (IFS), International Monetary Fund (IMF).
What is the highest nonbank financial institutions’ assets to gdp recorded in Colombia?
The highest recorded value was 28.8% in 2010.
What is the lowest nonbank financial institutions’ assets to gdp recorded in Colombia?
The lowest recorded value was 0.0% in 1992.
How does Colombia rank for nonbank financial institutions’ assets to gdp?
Colombia ranks 21st out of 84 countries with data for 2014.
Is nonbank financial institutions’ assets to gdp rising or falling in Colombia?
Over the last ten years it is up 2,201.2%. The long-run trend across the full record is volatile.
Where does this Colombia data come from?
The figures come from International Financial Statistics (IFS), International Monetary Fund (IMF), published as part of Nonbank financial institutions’ assets to GDP (%). Statizoid updates them automatically from the source API.

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Nonbank financial institutions’ assets to GDP in Colombia. Statizoid, drawing on International Financial Statistics (IFS), International Monetary Fund (IMF). Retrieved 08 September 2026, from https://financial-sector.statizoid.com/stat/nonbank-financial-institutions-assets-to-gdp-percent/colombia/

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About this data

Indicator
Nonbank financial institutions’ assets to GDP (%)
Unit
%
Source
International Financial Statistics (IFS), International Monetary Fund (IMF)
Licence
CC BY 4.0 (World Bank Open Data)
Coverage
84 places, 2,127 data points, 1960–2021
Last refreshed

Claims on domestic real nonfinancial sector by other financial institutions as a share of GDP, calculated using the following deflation method: {(0.5)*[Ft/P_et + Ft-1/P_et-1]}/[GDPt/P_at] where F is other financial institutions' claims, P_e is end-of period CPI, and P_a is average annual CPI. Raw data are from the electronic version of the IMF’s International Financial Statistics. Nonbank financial institutions assets (IFS lines 42, a-d, h, and s); GDP in local currency (IFS line 99B..ZF or, if not available, line 99B.CZF); end-of period CPI (IFS line 64M..ZF or, if not available, 64Q..ZF); and average annual CPI is calculated using the monthly CPI values (IFS line 64M..ZF).