NYSE Investor Margin Debt Relative To GDP : 2.97% (As of 2017-11-01) ( Discontinued )
Historical Data
Basic Info
NYSE Investor Margin Debt Relative To GDP was 2.97 as of 2017-11-01, according to NYSE. Historically, NYSE Investor Margin Debt Relative To GDP reached a record high of 2.97 and a record low of 0.25, the median value is 0.72. Typical value range is from 1.69 to 2.65. The Year-Over-Year growth is 11.65%. GuruFocus provides the current actual value, an historical data chart and related indicators for NYSE Investor Margin Debt Relative To GDP - last updated on 2017-11-01.
NYSE Investor Margin Debt Relative to GDP compares the total margin debt from investors on the New York Stock Exchange to the Gross Domestic Product of the United States. This ratio assesses how much of the nation's economic output is mirrored in stock market borrowing. It offers insights into overall market leverage and economic health.
Noted: NYSE Member Firm margin debt will no longer be updated after December 2017. Please check "Related Indicators" section below to find similar data reflecting all firms.
Category | Market Trend |
Region | USA |
Source | NYSE |
Stats
Name | Value | ||
---|---|---|---|
Last Value | 2.97% | ||
Latest Period | 2017-11-01 | ||
Long Term Average | 2.17% | ||
Average Annualized Growth Rate | +2.68% | ||
Value from 1 year ago | % | ||
Change from 1 year ago | % | ||
Frequency | Daily | ||
Unit | % |