Croatia vs Namibia: Financial Markets Depth Index

Croatia
0.181
in 2020
Namibia
0.17
in 2020
Croatia rank
71st
Namibia rank
74th

Financial Markets Depth Index over time

  • Croatia
  • Namibia
00.10.20.30.4198020002020

How they compare

Croatia currently reports 0.181 against 0.17 in Namibia, a difference of 0.011.

That makes Croatia's figure about 1.1 times Namibia's.

The two have swapped places 3 times across 41 shared years of data; in 1980 it was Namibia ahead.

Croatia ranks 71st and Namibia ranks 74th of 183 countries.

Croatia has averaged higher in every one of the 5 decades both report.

Head to head by decade

Decade Croatia Namibia Difference Ahead
1980s 0 0 0 β€”
1990s 0.039 0.0387 0.0004 Croatia
2000s 0.1933 0.0279 0.1654 Croatia
2010s 0.2175 0.0919 0.1256 Croatia
2020s 0.181 0.17 0.011 Croatia

Averages of every year both report within each decade.

Frequently asked questions

Which has higher financial markets depth index, Croatia or Namibia?
Croatia, at 0.181 against 0.17 in Namibia as of 2020.
What is the difference in financial markets depth index between Croatia and Namibia?
0.011, with Croatia ahead.
How many years of comparable data are there for Croatia and Namibia?
41 years are reported by both, from 1980 to 2020.
How do Croatia and Namibia rank globally for financial markets depth index?
Croatia ranks 71st and Namibia ranks 74th of 183 countries.
Where does this data come from?
International Monetary Fund, published as Financial Markets Depth Index. Statizoid refreshes it automatically from the source and publishes the full history for both places.

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Croatia vs Namibia: Financial Markets Depth Index. Statizoid, drawing on International Monetary Fund. Retrieved 19 August 2026, from https://financial-sector.statizoid.com/compare/financial-markets-depth-index/croatia/namibia/

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About this data

Indicator
Financial Markets Depth Index
Source
International Monetary Fund
Licence
IMF Terms and Conditions (attribution required)
Coverage
192 places, 7,872 data points, 1980–2020
Last refreshed

The dataset contains nine indices that summarize how developed financial institutions and financial markets are in terms of their depth, access, and efficiency. These indices are aggregated into an overall index of financial development. With the coverage of over 180 countries on annual frequency from 1980 onwards, the database should offer a useful analytical tool for researchers and policy makers.