Denmark vs France: Institutional Investors' Indicators — Financial liabilities of

Denmark
117.96 Percentage of GDP
in 2025
France
105.11 Percentage of GDP
in 2025
Denmark rank
2nd
France rank
3rd

Institutional Investors' Indicators — Financial liabilities of over time

  • Denmark
  • France
050100150199020072025

How they compare

Denmark currently reports 117.96 Percentage of GDP against 105.11 Percentage of GDP in France, a difference of 12.85 Percentage of GDP.

That makes Denmark's figure about 1.1 times France's.

The two have swapped places 1 time across 6 shared years of data; in 2020 it was France ahead.

Denmark ranks 2nd and France ranks 3rd of 25 countries.

Denmark has averaged higher in every one of the 1 decades both report.

Frequently asked questions

Which has higher institutional investors' indicators — financial liabilities of, Denmark or France?
Denmark, at 117.96 Percentage of GDP against 105.11 Percentage of GDP in France as of 2025.
What is the difference in institutional investors' indicators — financial liabilities of between Denmark and France?
12.85 Percentage of GDP, with Denmark ahead.
How many years of comparable data are there for Denmark and France?
6 years are reported by both, from 2020 to 2025.
How do Denmark and France rank globally for institutional investors' indicators — financial liabilities of?
Denmark ranks 2nd and France ranks 3rd of 25 countries.
Where does this data come from?
Organisation for Economic Co-operation and Development, published as Institutional Investors' Indicators — Financial liabilities of insurance corporations. Statizoid refreshes it automatically from the source and publishes the full history for both places.

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Denmark vs France: Institutional Investors' Indicators — Financial liabilities of. Statizoid, drawing on Organisation for Economic Co-operation and Development. Retrieved 07 September 2026, from https://reference.statizoid.com/compare/institutional-investors-indicators-financial-liabilities-of-insurance-corporations/denmark/france/

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About this data

Indicator
Institutional Investors' Indicators — Financial liabilities of insurance corporations
Unit
Percentage of GDP
Source
Organisation for Economic Co-operation and Development
Licence
OECD Terms and Conditions (attribution required)
Coverage
33 places, 768 data points, 1960–2025
Last refreshed

The Institutional Investors’ Indicators table shows total financial assets and liabilities of the three types of institutional investor - investment funds, insurance corporations and pension funds - as a percentage of GDP. It also provides a breakdown of the total assets (liabilities) of each type of institutional investor by main financial instrument category: currency and deposits; debt securities; loans; equity and investment fund shares; insurance, pensions and standardised guarantees; financial derivatives and employee stock options; and other accounts receivable/payable. The financial instrument categories are shown as a share (percentage) of the total assets (liabilities) of each type of institutional investor. For investment funds, there is also a breakdown of total assets by type of investment fund: real estate, equity, bond, mixed, hedge and other funds; and a breakdown of total assets and liabilities by whether they belong to money market funds (MMFs) or non-MMFs and to open-ended or closed-ended funds. All the indicators in this dataset are derived from the Institutional Investors' Assets and Liabilities dataset.