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    Belarus Government Analytics

    Government stability and policy metrics

    OverviewCost of LivingDemographicsEconomyGovernmentQuality of LifeTaxationTourism

    Government Debt

    32.8%

    Government debt as percentage of GDP

    Corruption Index

    37.0

    Corruption perception index (higher is better)

    Government Payrolls

    No data

    Number of government employees

    Gold Reserves

    54 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 Belarus Government trends and investment implications

    Market Overview

    Belarus presents a complex investment landscape with potential risks and opportunities for real estate investors. While moderate gold reserves offer some economic resilience, the low corruption index suggests challenges in regulatory predictability and property rights enforcement. High debt-to-GDP ratios and political instability further complicate long-term investment prospects.

    Key Findings

    Data-driven insights

    • •The Corruption Index at 37 indicates significant issues with transparency and likely challenges in enforcing property rights.
    • •Gold reserves at 54.05 tonnes provide a moderate buffer against economic shocks, although not substantial compared to larger economies.
    • •Belarus has experienced a consistently high debt-to-GDP ratio, implying potential for future tax increases to manage fiscal deficits.
    • •A large government payroll suggests a heavy tax burden on businesses, potentially reducing profitability for investors.

    Market Trends

    Historical patterns

    • •A sustained high debt-to-GDP ratio over the decades indicates fiscal instability and potential policy shifts.
    • •Political tensions and instability have been a recurring theme, impacting investor confidence.
    • •Efforts to diversify the economy have been inconsistent, affecting economic resilience and growth prospects.

    For Investors

    Actionable takeaways

    • •Consider diversifying investments across multiple jurisdictions to mitigate political and economic risks in Belarus.
    • •Investors should assess the potential impact of increased taxation due to high debt levels on property returns.
    • •Leverage gold reserves as a partial indicator of economic stability, but remain cautious of broader fiscal policies.
    • •Engage local legal expertise to navigate complex regulatory environments and protect property rights effectively.

    Market Context

    Belarus's governance landscape is marked by moderate economic buffers but is challenged by significant corruption and political instability. These factors create a high-risk environment for real estate investments, necessitating cautious and well-informed decision-making.

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