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    Bosnia and Herzegovina Government Analytics

    Government stability and policy metrics

    OverviewDemographicsEconomyGovernmentQuality of LifeTaxationTourism

    Government Debt

    17.1%

    Government debt as percentage of GDP

    Corruption Index

    35.0

    Corruption perception index (higher is better)

    Government Payrolls

    No data

    Number of government employees

    Gold Reserves

    1 t

    National gold reserves in tonnes

    Corruption Index

    Corruption perception index (higher is better)

    Gold Reserves

    National gold reserves in tonnes

    Additional Insights

    Expert analysis of Bosnia and Herzegovina Government trends and investment implications

    Market Overview

    Bosnia and Herzegovina presents a mixed bag for real estate investors, with notable fiscal challenges and governance issues. The high corruption index and small gold reserves highlight potential risks, but there are opportunities for those willing to navigate these complexities.

    Key Findings

    Data-driven insights

    • •The Corruption Index of 35 suggests significant challenges in property rights enforcement and reliability, impacting investor confidence.
    • •Gold reserves stand at 1.49 tonnes, providing limited economic shock absorption, particularly in volatile global markets.
    • •High debt-to-GDP ratios indicate a potential risk of future tax increases, impacting property investment returns.
    • •A large government sector may necessitate higher taxes, which could affect disposable incomes and property market dynamics.

    Market Trends

    Historical patterns

    • •Over the past 64 years, Bosnia and Herzegovina has seen periods of political instability, affecting long-term investment stability.
    • •Fiscal policies have fluctuated, with recent years showing efforts to stabilize but still facing high debt levels.
    • •Corruption has remained a consistent issue, impacting regulatory frameworks and investor trust.

    For Investors

    Actionable takeaways

    • •Consider diversifying investments to mitigate the risks associated with political and fiscal instability.
    • •Engage local legal expertise to navigate property rights and regulatory challenges due to the high corruption index.
    • •Monitor fiscal policies closely to anticipate potential tax hikes that could impact returns.
    • •Assess the government's fiscal strategies and gold reserve policies to evaluate economic resilience in times of crisis.

    Market Context

    Bosnia and Herzegovina's governance landscape is characterized by ongoing political and fiscal challenges, yet it offers potential for high returns for investors adept at managing risk and navigating complex regulatory environments.

    💡 Insights based on historical data. Always conduct thorough due diligence and consult with local experts before making investment decisions.