FINRA Investor Margin Debt Relative to GDP : 2.86% (As of 2024-05-01)
Historical Data
Total 329
Basic Info
FINRA Investor Margin Debt Relative to GDP was 2.86 as of 2024-05-01, according to FINRA. Historically, FINRA Investor Margin Debt Relative to GDP reached a record high of 3.97 and a record low of 1.22, the median value is 2.32. Typical value range is from 2.53 to 3.35. The Year-Over-Year growth is 19.11%. GuruFocus provides the current actual value, an historical data chart and related indicators for FINRA Investor Margin Debt Relative to GDP - last updated on 2024-05-01.
The FINRA debit balances in customers' securities margin accounts relative to gross domestic product
Category | Market Trend |
Region | USA |
Source | FINRA |
Stats
Name | Value | ||
---|---|---|---|
Last Value | 2.86% | ||
Latest Period | 2024-05-01 | ||
Long Term Average | 2.94% | ||
Average Annualized Growth Rate | +3.07% | ||
Value from 1 year ago | 2.4% | ||
Change from 1 year ago | +19.17% | ||
Frequency | Daily | ||
Unit | % |
Related Indicators
Discussions on FINRA Investor Margin Debt Relative to GDP
No discussions yet.