FINRA Investor Margin Debt : 1502072 (As of 2026-06-01)
NEW

FINRA Investor Margin Debt is currently 1502072, 102.8% above its long-term average of 740646.36. Historically, FINRA Investor Margin Debt has ranged from 102842 to 1502072.

To

Basic Info

The debt balance, in a margin account, is money owed by the customer to the broker for funds advanced to purchase securities. The debit balance is the amount of funds the customer must put into his or her margin account, following the successful execution of a security purchase order, in order to properly settle the transaction. (Source: Investopedia) More specifically, it includes both the debit balances from securities purchased on margin and the free credit balances in customer accounts, which FINRA requires member firms to report monthly.



FINRA Investor Margin Debt was 1502072 as of 2026-06-01, according to FINRA. Historically, FINRA Investor Margin Debt reached a record high of 1502072 and a record low of 102842, the median value is 350430. Typical value range is from 534230 to 947063. The Year-Over-Year growth is 49.02%. GuruFocus provides the current actual value, an historical data chart and related indicators for FINRA Investor Margin Debt - last updated on 2026-06-01.

Category Market Trend
Region USA
Source FINRA

Stats

Name Value
Last Value 1502072
Latest Period 2026-06-01
Long Term Average 740,646.36
Average Annualized Growth Rate +9.52%
Value from 1 year ago 1007961
Change from 1 year ago +49.02%
Frequency Monthly
Unit Millions

Frequently Asked Questions

What is the current FINRA Investor Margin Debt?

FINRA Investor Margin Debt is 1502072 as of 2026-06-01. Data sourced from FINRA.

What is the historical range of FINRA Investor Margin Debt?

Over its full recorded history, FINRA Investor Margin Debt has ranged from a low of 102842 to a high of 1502072. The median value is 350430.

How has FINRA Investor Margin Debt changed in the past year?

FINRA Investor Margin Debt has increased by 49.02% over the past year.

What is the long-term average for FINRA Investor Margin Debt?

The long-term average for FINRA Investor Margin Debt is 740646.36. The current value of 1502072 is above this historical average.

Where does the data for FINRA Investor Margin Debt come from?

FINRA Investor Margin Debt data is sourced from FINRA. GuruFocus aggregates and updates this indicator on a monthly basis.

Is FINRA Investor Margin Debt currently above or below its long-term average?

FINRA Investor Margin Debt is at 1502072, which is 102.8% above its long-term average of 740646.36 over a historical range of 102842 to 1502072. Compare this reading against the historical chart above to see how the current value relates to past cycles.

Related Indicators