Romania (2025)
1.4
% of GDP
-0.2pp YoY
YoY Change
-0.2pp
percentage points
Trend
down
Series length
26
years of data

Data

Romania Financial Sector Net Financial Assets (% of GDP) (2025) — source data. Eurostat.
Year % of GDP YoY Change
2025 1.4 -0.2pp
2024 1.6 +0.4pp
2023 1.2 -0.1pp
2022 1.3 -0.5pp
2021 1.8 +0.1pp
2020 1.7 +0.2pp
2019 1.5 -0.4pp
2018 1.9 +0.3pp
2017 1.6 -1.4pp
2016 3 -0.7pp
2015 3.7 -0.4pp
2014 4.1 -1pp
2013 5.1 +1pp
2012 4.1 +0.5pp
2011 3.6 +0.3pp
2010 3.3 +2.6pp
2009 0.7 -3.5pp
2008 4.2 +7.5pp
2007 -3.3 +0.8pp
2006 -4.1 -1.1pp

About this Dataset

Romania recorded 1.4 % of GDP in 2025. The latest change was -0.2pp. Across 2000–2025 the series ranges from -4.1 in 2006 to 5.1 in 2013.

This page tracks net financial assets of the financial sector (banks, insurers, investment funds) as a share of GDP in Romania from 2000 to present.

Data sourced from Eurostat via SDMX REST API. Values use harmonised methodology intended for cross-country comparison.

Frequently Asked Questions

This page tracks net financial assets of the financial sector (banks, insurers, investment funds) as a share of GDP in Romania from 2000 to present. It is published by Eurostat and updated annually.

The most recent observation covers 2025. Eurostat typically publishes this series with a lag of several months after the reference period. The series runs 2000–2025 (26 observations).

The series peaked at 5.1 % of GDP in 2013 and reached its lowest recorded value of -4.1 in 2006. The latest reading of 1.4 in 2025 represents a change of -0.2pp.