FINRA Investor Margin Debt Relative to GDP
: 2.96% (As of 2025-03-01) NEW
Basic Info
FINRA Investor Margin Debt Relative to GDP measures the total margin debt held by investors, as reported by FINRA, compared to the Gross Domestic Product (GDP) of the United States. This ratio provides insights into the level of leverage used by investors in the securities market relative to the overall economic output, indicating potential market risks and investor confidence.
FINRA Investor Margin Debt Relative to GDP was 2.96 as of 2025-03-01, according to FINRA. Historically, FINRA Investor Margin Debt Relative to GDP reached a record high of 3.97 and a record low of 1.23, the median value is 2.33. Typical value range is from 2.52 to 3.34. The Year-Over-Year growth is 8.03%. GuruFocus provides the current actual value, an historical data chart and related indicators for FINRA Investor Margin Debt Relative to GDP - last updated on 2025-03-01.
Category | Market Trend |
Region | USA |
Source | FINRA |
Stats
Name | Value | ||
---|---|---|---|
Last Value | 2.96% | ||
Latest Period | 2025-03-01 | ||
Long Term Average | 2.93% | ||
Average Annualized Growth Rate | +3.11% | ||
Value from 1 year ago | 2.74% | ||
Change from 1 year ago | +8.03% | ||
Frequency | Daily | ||
Unit | % |