Malaysia - Standard and Poors Global Equity Indices
S&P Global Equity Indices (annual % change)
The value for S&P Global Equity Indices (annual % change) in Malaysia was 4.18 as of 2020. As the graph below shows, over the past 24 years this indicator reached a maximum value of 46.65 in 2009 and a minimum value of -72.92 in 1997.
Definition: S&P Global Equity Indices measure the U.S. dollar price change in the stock markets covered by the S&P/IFCI and S&P/Frontier BMI country indices.
Source: Standard & Poor's, Global Stock Markets Factbook and supplemental S&P data.
See also:
Year | Value |
---|---|
1996 | 24.10 |
1997 | -72.92 |
1998 | -2.89 |
1999 | 44.50 |
2000 | -23.33 |
2001 | 4.16 |
2002 | -2.57 |
2003 | 25.46 |
2004 | 12.72 |
2005 | -2.86 |
2006 | 34.62 |
2007 | 44.64 |
2008 | -43.66 |
2009 | 46.65 |
2010 | 35.06 |
2011 | -1.14 |
2012 | 11.40 |
2013 | 4.35 |
2014 | -11.73 |
2015 | -20.55 |
2016 | -6.81 |
2017 | 25.26 |
2018 | -12.65 |
2019 | -0.99 |
2020 | 4.18 |
Classification
Topic: Financial Sector Indicators
Sub-Topic: Capital markets