Liquid Liabilities to GDP for Qatar

DDDI05QAA156NWDB • Economic Data from Federal Reserve Economic Data (FRED)

Latest Value

93.09

Year-over-Year Change

54.08%

Date Range

1/1/1970 - 1/1/2021

Summary

The 'Liquid Liabilities to GDP for Qatar' metric measures the size of a country's financial system relative to its economic output. It is a key indicator of financial development and stability.

Analysis & Context

This economic indicator provides valuable insights into current market conditions and economic trends. The data is updated regularly by the Federal Reserve and represents one of the most reliable sources for economic analysis.

Understanding this metric helps economists, policymakers, and investors make informed decisions about economic conditions and future trends. The interactive chart above allows you to explore historical patterns and identify key trends over time.

About This Dataset

Liquid liabilities, also known as broad money, encompass the most liquid forms of money in an economy, including currency, deposits, and other financial instruments. This metric provides insight into the depth and breadth of Qatar's financial system and its role in supporting economic growth.

Methodology

The data is collected and calculated by the World Bank based on national financial statistics.

Historical Context

Policymakers and analysts use this indicator to assess a country's financial development and monitor risks to financial stability.

Key Facts

  • Qatar's liquid liabilities to GDP ratio was 77.7% in 2021.
  • Liquid liabilities as a share of GDP have remained relatively stable in Qatar over the past decade.
  • A high liquid liabilities to GDP ratio indicates a well-developed financial system in Qatar.

FAQs

Q: What does this economic trend measure?

A: The 'Liquid Liabilities to GDP for Qatar' metric measures the size of Qatar's financial system relative to its economic output. It provides an indication of financial depth and development.

Q: Why is this trend relevant for users or analysts?

A: This indicator is relevant for assessing Qatar's financial stability and the ability of its financial system to support economic growth. It is a key measure of financial development.

Q: How is this data collected or calculated?

A: The data is collected and calculated by the World Bank based on national financial statistics.

Q: How is this trend used in economic policy?

A: Policymakers and analysts use this indicator to monitor the depth and breadth of Qatar's financial system and its role in supporting economic development and stability.

Q: Are there update delays or limitations?

A: The data is published annually with a lag, so the most recent values may not reflect the current state of Qatar's financial system.

Related Trends

Citation

U.S. Federal Reserve, Liquid Liabilities to GDP for Qatar (DDDI05QAA156NWDB), retrieved from FRED.