Malaysia vs Spain: Stock market turnover ratio

Malaysia
56.9%
in 2020
Spain
64.5%
in 2020
Malaysia rank
20th
Spain rank
17th

Stock market turnover ratio over time

  • Malaysia
  • Spain
0100200300197519972020

How they compare

Spain currently reports 64.5% against 56.9% in Malaysia, a difference of 7.6%.

That makes Spain's figure about 1.1 times Malaysia's.

The two have swapped places 3 times across 40 shared years of data; in 1981 it was Malaysia ahead.

Malaysia ranks 20th and Spain ranks 17th of 90 countries.

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

Head to head by decade

Decade Malaysia Spain Difference Ahead
1980s 13.3% 24.3% 11.0% Spain
1990s 21.5% 66.4% 44.8% Spain
2000s 31.6% 152.1% 120.5% Spain
2010s 29.4% 94.3% 64.8% Spain
2020s 56.9% 64.5% 7.5% Spain

Averages of every year both report within each decade.

Frequently asked questions

Which has higher stock market turnover ratio, Malaysia or Spain?
Spain, at 64.5% against 56.9% in Malaysia as of 2020.
What is the difference in stock market turnover ratio between Malaysia and Spain?
7.6%, with Spain ahead.
How many years of comparable data are there for Malaysia and Spain?
40 years are reported by both, from 1981 to 2020.
How do Malaysia and Spain rank globally for stock market turnover ratio?
Malaysia ranks 20th and Spain ranks 17th of 90 countries.
Where does this data come from?
Global Stock Markets Factbook and supplemental S&P data, Standard & Poor's, published as Stock market turnover ratio (%). Statizoid refreshes it automatically from the source and publishes the full history for both places.

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Malaysia vs Spain: Stock market turnover ratio. Statizoid, drawing on Global Stock Markets Factbook and supplemental S&P data, Standard & Poor's. Retrieved 04 September 2026, from https://financial-sector.statizoid.com/compare/stock-market-turnover-ratio-percent/malaysia/spain/

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About this data

Indicator
Stock market turnover ratio (%)
Unit
%
Source
Global Stock Markets Factbook and supplemental S&P data, Standard & Poor's
Licence
CC BY 4.0 (World Bank Open Data)
Coverage
90 places, 2,236 data points, 1975–2020
Last refreshed

Ratio of the value of total shares traded to average real market capitalization, the denominator is deflated using the following method: Tt/P_at/{(0.5)*[Mt/P_et + Mt-1/P_et-1] where T is total value traded, M is stock market capitalization, P_e is end-of period CPI. (IFS line 64M..ZF or, if not available, 64Q..ZF) and annual CPI (IFS line 64..ZF) are from the IMF’s International Financial Statistics.