Long abstract

Households’ Wealth Composition Across OECD Countries and Financial Risks Borne by Households

This article presents a combined analysis of households’ financial and non-financial balance sheets across OECD countries over the period 1995-2006. The scope of the study mainly covers households’ gross wealth (financial, dwellings and land) and therefore does not include debt. It also analyses financial risks borne by households investing their savings either in investment fund shares, in life insurance reserves or in pension schemes, and how these allocations have changed and developed over time in various OECD countries.

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