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Global Finance Indicator

May 2024, Credit growth remained stable throughout geographies with default rates witnessing improvement. Foreign flows into emerging markets gained further momentum especially in China along with fundraising activity being robust in many countries. Margin debt saw some level of reduction despite stock markets at a new high. These trends do have seen some reduction in growth that would be important to track hereon.

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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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