Broad money (% of GDP) — all countries

Broad money (% of GDP) — EAEU

Broad money (% of GDP) in the EAEU in 2022 — 34.98%. Since 1994, the indicator has risen by 11.57 pp.

2022 34.98% −0.77 pp vs 2021
World rank
Period maximum 65.04%2020
Period minimum 11.6%1996

Trend over time

1994–2022 · % of GDP

Broad money (% of GDP) — EAEU, 1994–202202040608019941997200020032006200920122015201820211994: 23.41%1995: 12.76%1996: 11.6%1997: 12.35%1998: 17.2%1999: 14.62%2000: 15.97%2001: 23.03%2002: 25.39%2003: 28.78%2004: 30.33%2005: 32.34%2006: 36.86%2007: 41.76%2008: 38.8%2009: 47.84%2010: 49.46%2011: 45.89%2012: 45.6%2013: 48.72%2014: 51.26%2015: 58.39%2016: 56.84%2017: 56.5%2018: 55.81%2019: 55.32%2020: 65.04%2021: 35.75%2022: 34.98%
Change over the period: +11.57 pp Annual average: 0.41 pp

Comparison, 2022

How the value compares with the world and the groups this territory belongs to: EAEU

EAEU 34.98%
World 136.9%
Broad money (% of GDP) — EAEU, by year EAEU All countries CSV XLSX
Year % Change, pp
2022 34.98 −0.77 pp
2021 35.75 −29.29 pp
2020 65.04 +9.72 pp
2019 55.32 −0.49 pp
2018 55.81 −0.69 pp
2017 56.5 −0.34 pp
2016 56.84 −1.55 pp
2015 58.39 +7.13 pp
2014 51.26 +2.54 pp
2013 48.72 +3.12 pp
2012 45.6 −0.29 pp
2011 45.89 −3.58 pp
2010 49.46 +1.63 pp
2009 47.84 +9.03 pp
2008 38.8 −2.96 pp
2007 41.76 +4.91 pp
2006 36.86 +4.51 pp
2005 32.34 +2.01 pp
2004 30.33 +1.56 pp
2003 28.78 +3.39 pp
2002 25.39 +2.36 pp
2001 23.03 +7.06 pp
2000 15.97 +1.35 pp
1999 14.62 −2.58 pp
1998 17.2 +4.85 pp
1997 12.35 +0.76 pp
1996 11.6 −1.16 pp
1995 12.76 −10.65 pp
1994 23.41

About the indicator

Broad money, an aggregate close to M2/M3, as a percent of GDP: currency outside banks, demand deposits, time and savings deposits and, in a number of countries, short-term securities. The ratio to GDP is conventionally read as a measure of monetization and of the depth of the financial system, not as an indicator of inflationary pressure.

Source: World Economic Outlook (IMF), license IMF open data.