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Global Finance Indicator

July 2024, The overall activity continues to be stable, but the growth momentum now is on a level of reversal as the indicator increased from no growth in the previous month. The default rates have stabilised along with credit growth rates. As stock markets continue to rise, the margin debt has substantially increased across the geographies. Whether the growth is sustainable from hereon will be crucial for a soft landing by year-end.

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Target Investing

The Finance indicator includes elements such as default rates , margin debt and others belonging to countries like USA , India and few more large economies.

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