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Indicators/Topics/Markets

Topic

Financial Markets

Risk, equity, bond, volatility, spread, and liquidity indicators.

Headline route

Start with the topic headline, then switch countries or sibling measures from the series page.

Open headline indicator Browse in catalog

Indicators tracked under Markets

Rows tagged fresh are chart-ready right now. The others remain in the catalog but have not been hydrated for live observation reads.

Headline

Equity volatilityMarket-implied volatility index.Catalog through Mar 1, 2026Commodity pricesAggregate commodity price indices (Brent, WTI, metals, etc.).In the catalogUSD exchange-rate indexDollar exchange-rate index.Catalog through Jul 24, 2026Portfolio equity net inflowsNet inflows from equity securities other than direct investment, in current US dollars.In the catalogPortfolio Investment, NetNet portfolio investment across equity and debt instruments, balance-of-payments basis, in current US dollars.In the catalog

Equity markets

Equity indexBroad equity market price index.In the catalogStock market capitalization (US$)Market capitalization of listed domestic companies in current US dollars.In the catalogStocks traded, total value (US$)Total value of shares traded on domestic stock exchanges in current US dollars.In the catalogStock market turnover ratioTotal value of shares traded during the period divided by average market capitalization.In the catalogS&P global equity index changeAnnual percent change in the S&P Global Equity Index in US dollar terms.In the catalog

Credit & bonds

Credit spreadCorporate bond spread over benchmark government debt.In the catalogCorporate bond yieldYield on corporate debt.Catalog through Jun 202610-year breakeven inflationMarket-implied average inflation over ten years.Catalog through Mar 1, 2026

Conditions & liquidity

Financial conditions indexComposite index of financial tightness.Catalog through Jul 24, 2026Liquidity stress indexComposite market liquidity stress measure.In the catalog

Country risk & ratings

OECD country risk classificationOECD risk score 0-7 covering ~150 countries; updated by the OECD Participants to the Arrangement on Officially Supported Export Credits, typically a few times per year.In the catalogMoody's sovereign ratingLong-term foreign-currency sovereign rating from Moody's, curated from the agency's public press releases. Facts only — letter, outlook, date, source URL.In the catalogS&P sovereign ratingLong-term foreign-currency sovereign rating from S&P Global Ratings, curated from the agency's public press releases. Facts only — letter, outlook, date, source URL.In the catalogFitch sovereign ratingLong-term foreign-currency sovereign rating from Fitch Ratings, curated from the agency's public press releases. Facts only — letter, outlook, date, source URL.In the catalog
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On this page

  • Headline
  • Equity volatility
  • Commodity
  • USD exchange-rate index
  • Portfolio equity net inflows
  • Portfolio Investment, Net
  • Equity markets
  • Equity index
  • Stock market capitalization (US$)
  • Stocks traded, total value (US$)
  • Stock market turnover ratio
  • S&P global equity index change
  • Credit & bonds
  • Credit spread
  • Corporate bond yield
  • 10-year breakeven inflation
  • Conditions & liquidity
  • Financial conditions index
  • Liquidity stress index
  • Country risk & ratings
  • OECD risk
  • Moody's
  • S&P
  • Fitch
  • Full catalog

Country entry points

Sorted by series-coverage depth under this topic, with the countries that have the most provider data first.

United States11China6Germany6Japan6India6United Kingdom6France6Italy6Brazil6Canada6Russia6Mexico6South Korea6Australia6Spain6Indonesia6Turkey6Netherlands6Saudi Arabia6Switzerland6Ascension Island6Andorra6United Arab Emirates6Afghanistan6Antigua & Barbuda6Anguilla6Albania6Armenia6Angola6Antarctica6

+230 more countries with data. Browse all coverage in the catalog.

Common comparisons

United StatesChinaGermanyJapanIndiaUnited KingdomFranceItaly

Related topics

Money & RatesTrade & External SectorPrices & Inflation
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