5-Bank Asset Concentration for Estonia

DDOI06EEA156NWDB • Economic Data from Federal Reserve Economic Data (FRED)

Latest Value

99.30

Year-over-Year Change

-0.70%

Date Range

1/1/2000 - 1/1/2021

Summary

The 5-Bank Asset Concentration for Estonia measures the degree of concentration in the banking sector, indicating the market share of the five largest banks. This metric is crucial for analyzing financial stability and competition in the Estonian banking industry.

Analysis & Context

This economic indicator provides valuable insights into current market conditions and economic trends. The data is updated regularly by the Federal Reserve and represents one of the most reliable sources for economic analysis.

Understanding this metric helps economists, policymakers, and investors make informed decisions about economic conditions and future trends. The interactive chart above allows you to explore historical patterns and identify key trends over time.

About This Dataset

The 5-Bank Asset Concentration for Estonia represents the percentage of total banking assets held by the five largest banks operating in the country. This indicator provides insight into the level of market consolidation and can be used to assess the competitive dynamics and potential systemic risks in the Estonian financial system.

Methodology

The data is collected and calculated by the World Bank based on national central bank and regulatory agency reports.

Historical Context

Policymakers and financial analysts use this metric to monitor the evolution of market concentration and its implications for financial sector regulation and competition policies.

Key Facts

  • The 5-Bank Asset Concentration for Estonia was 95.4% in 2020.
  • Estonia's banking sector is considered highly concentrated, with the top five banks controlling a dominant market share.
  • High banking concentration can impact financial stability and competition in the Estonian economy.

FAQs

Q: What does this economic trend measure?

A: The 5-Bank Asset Concentration for Estonia measures the percentage of total banking assets held by the five largest banks operating in the country.

Q: Why is this trend relevant for users or analysts?

A: This metric provides insight into the level of market consolidation in the Estonian banking sector, which is crucial for analyzing financial stability and competition.

Q: How is this data collected or calculated?

A: The data is collected and calculated by the World Bank based on reports from the Estonian central bank and regulatory agencies.

Q: How is this trend used in economic policy?

A: Policymakers and financial analysts use this metric to monitor the evolution of market concentration and its implications for financial sector regulation and competition policies in Estonia.

Q: Are there update delays or limitations?

A: The data is published annually by the World Bank, and there may be a lag in the most recent updates.

Related Trends

Citation

U.S. Federal Reserve, 5-Bank Asset Concentration for Estonia (DDOI06EEA156NWDB), retrieved from FRED.