Indicators describing the money supply, the interest-rate and credit environment set by monetary policy, and the pricing and volatility of financial markets themselves, including a central bank's own policy rate, market-implied volatility and the spread between short and long-term government borrowing costs. Belongs here: monetary-policy and money-supply measures, and indicators whose subject is the financial markets and the credit conditions they set. Does not belong here: an indicator of real economic activity such as output or employment, even one strongly influenced by monetary policy, which belongs under its own subject-matter group instead.
All Money, Credit and Financial Markets
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Bloomberg US Aggregate Bond Index
Money, Credit and Financial Markets
Buffett indicator
Money, Credit and Financial Markets
CBOE Volatility Index (VIX)
Money, Credit and Financial Markets
Consumer Leverage Ratio
Money, Credit and Financial Markets
Credit Spread
Money, Credit and Financial Markets
Cyclically adjusted price-to-earnings ratio
Money, Credit and Financial Markets
Federal Funds Rate
Money, Credit and Financial Markets
LIBOR
Money, Credit and Financial Markets
M2 Money Supply
Money, Credit and Financial Markets
Monetary Base
Money, Credit and Financial Markets
Prime Rate
Money, Credit and Financial Markets
Secured Overnight Financing Rate (SOFR)
Money, Credit and Financial Markets
TED Spread
Money, Credit and Financial Markets
Treasury Yield Curve Spread
Money, Credit and Financial Markets
U.S. Dollar Index
Money, Credit and Financial Markets
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