Financial Sector in Kenya 442 indicators covering financial sector for Kenya. IndicatorLatest Year10-yr change Rank Bank return on assets 2.9% 2021 down 16.8% 13th Bank return on equity 21.8% 2021 down 28.5% 27th Bank return on equity 16.7% 2021 down 27.5% 25th Bank overhead costs to total assets 3.5% 2021 down 39.6% 42nd Other investment, Loans, Deposit taking corporations, except the 1.42 billion US dollar 2024 up 746.5% 43rd Other investment, Loans, Deposit taking corporations, except the 0 US dollar 2024 — 108th Bank net interest margin 6.1% 2021 down 25.0% 23rd Bank nonperforming loans to total gross loans 13.6% 2024 up 148.8% 17th Rate 0.24 2024 down 53.8% 31st International migrant stock, total 992,536 2024 down 11.9% 62nd International migrant stock 1.8% 2024 down 25.0% 154th Bank capital to assets ratio 11.7% 2024 down 7.8% 30th Reserve assets, Currency and deposits, Claims on monetary authorities 0 US dollar 2014 — 111th Financial derivatives (other than reserves) and employee stock options 54.37 million US dollar 2024 up 14,220.2% 60th Government securities: Treasury bills yields, Rate, Percent per annum 15.28 2024 up 71.1% 9th Borrowers from commercial banks 324.9 per 1,000 adults 2024 up 98.0% 36th Financial derivatives (other than reserves) and employee stock -15.53 million 2024 down 297.6% 109th Other investment, Currency and deposits, Deposit taking corporations 4.24 billion US dollar 2024 up 255.5% 44th Other investment, Trade credits and advances, Non financial 87.71 million US dollar 2024 up 2,362.0% 91st Other investment, Currency and deposits, Central bank 74,770 US dollar 2024 — 61st Other investment, Currency and deposits, Non financial corporations 4.14 billion US dollar 2024 down 5.6% 51st 5-bank asset concentration 60.02 2021 up 0.4% 136th Domestic Claims, Claims on Other Financial Corporations 41.26 billion 2008 up 289.0% 27th Bank lending-deposit spread 5.03 2020 down 48.8% 69th Savings Rate, Percent per annum 4.14 2024 up 155.8% 13th Risk premium on lending 1.3% 2024 down 82.6% 71st Restricted Deposits 3.58 billion 2008 — 31st Portfolio investment, bonds (PPG + PNG) -500.00 million NFL, current US$ 2024 down 118.2% 67th Monetary policy-related, Rate, Percent per annum 11.25 2024 up 32.4% 16th Bank regulatory capital to risk-weighted assets 19.2% 2020 down 8.1% 63rd Bank non-performing loans to gross loans 14.1% 2020 up 124.7% 18th Currency in circulation outside of depository corporations 286.20 billion Domestic currency 2024 up 67.8% 64th Outstanding international public debt securities to GDP 6.2% 2020 up 37.9% 71st International debt issues to GDP 6.2% 2020 up 36.4% 101st Broad Money 6.11 trillion Domestic currency 2024 up 140.4% 41st Bank capital to total assets 14.6% 2020 up 7.8% 16th Securities issued by Central Government 0 Domestic currency 2024 — 5th Deposits (including electronic money) in Non-financial corporations 0 Domestic currency 2024 — 15th Current account balance (credit less debit), Percent of GDP (Balance) -3.73 2027 up 33.2% 26th Provisions to nonperforming loans 71.4% 2020 up 623.7% 50th Currency issued by Central Government 0 Domestic currency 2024 — 10th Goods balance (credit less debit), Percent of GDP (Balance of) -8.15 2027 up 34.4% 32nd Number of listed companies per 1,000,000 people 1.12 2020 down 14.7% 93rd Wholesale price index 100 2010 = 100 1995 up 13.1% 40th Gross portfolio equity assets to GDP 0.0% 2018 — 125th Bank branches per 100,000 adults 4.39 2021 down 10.7% 151st Domestic Claims, Claims on State and Local Government or Official 1.48 billion 2008 up 148.3% 37th Gross portfolio debt liabilities to GDP 5.7% 2018 up 4,357.6% 99th Neonatal deaths - High-income country average rate matched 4,549 2030 down 80.1% 17th Under-five deaths - High-income country average rate matched 8,185 2030 down 80.5% 17th Deaths age 10 to 19 - High-income country average rate matched 3,703 2030 down 55.9% 18th Stock market total value traded to GDP 0.5% 2020 down 72.5% 72nd ATMs per 100,000 adults 6.94 2021 down 22.8% 153rd S&P Global Equity Indices -26.7% 2022 down 161.7% 66th Domestic credit provided by financial sector 55.7% 2023 up 11.5% 39th Stock market return 18.4% 2021 up 332.0% 47th Gross portfolio equity liabilities to GDP 0.6% 2018 up 1,323.0% 77th External finance, S1 - Capital outflow restrictions bank credit 1.5 2014 unchanged 50th Domestic finance, S1 - Credit controls 1 2014 unchanged 61st Domestic finance, S1 - Interest rate controls 3 2014 unchanged 1st ← Previous Page 6 of 8 Next →