FINRA Investor Margin Debt Relative to GDP : 2.53 (As of 2022-10-01)

Unit: %. FINRA Investor Margin Debt Relative to GDP was 2.53 as of 2022-10-01, 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 2.21. Typical value range is from 2.53 to 3.33. The Year-Over-Year growth is -36.27%. GuruFocus provides the current actual value, an historical data chart and related indicators for FINRA Investor Margin Debt Relative to GDP - last updated from the United States Federal Reserve on 2022-10-01.

The FINRA debit balances in customers' securities margin accounts relative to gross domestic product

To

Historical Data

Date Value YOY (%)
2022-10-01
2.53
-36.27%
2022-09-01
2.63
-32.91%
2022-08-01
2.72
-31.31%
2022-07-01
2.76
-28.50%
2022-06-01
2.76
-28.50%
2022-05-01
3.04
-21.24%
2022-04-01
3.12
-17.89%
2022-03-01
3.28
-14.36%
2022-02-01
3.43
-9.50%
2022-01-01
3.41
-8.33%
2021-12-01
3.86
+4.89%
2021-11-01
3.90
+14.04%
2021-10-01
3.97
+27.24%
2021-09-01
3.92
+17.01%
Total 308
Related Item Date Value Unit 1-Year Growth 3-Year Growth 5-Year Growth 10-Year Growth
2022-10-01
2.53
%
-36.27%
-0.52%
-3.98%
+1.83%
2017-11-01
580,945.00
Millions
+16.09%
+8.31%
+12.17%
+5.37%
2017-11-01
2.11
%
-2.76%
-
-0.83%
-0.90%
2017-11-01
2.97
%
+11.65%
+4.80%
+8.12%
+2.32%
2022-10-01
649,618.00
Millions
-30.59%
+5.41%
+1.34%
+6.61%
2022-10-01
1.68
%
-14.72%
-4.20%
-5.92%
-3.05%