Broad money in Morocco

Morocco: Broad money was 121.3% in 2025. ◆ Volatile

Latest (2025)
121.3%
Change on year
up 2.4%
World rank
18th
of 166 countries
All-time high
128.9%
in 2020
All-time low
26.7%
in 1964
Years of data
66
1960–2025

Broad money in Morocco, 1960–2025

255075100125196019922025

Source: International Financial Statistics database, International Monetary Fund (IMF). Measured in % of GDP.

Analysis

Morocco recorded 121.3% for broad money in 2025.

That represents a change of up 2.4% on the previous year and up 13.9% over ten years.

Over the whole period, broad money in Morocco peaked at 128.9% in 2020 and was at its lowest, 26.7%, in 1964.

Morocco ranks 18th of 166 countries on this measure, in the top quarter.

The series is highly variable year to year, so single readings are best treated with caution.

Broad money in Morocco, year by year

Annual values for Broad money (% of GDP) in Morocco, 1960 to 2025.
Year % of GDP Change
1960 27.8%
1961 29.5% +5.9%
1962 29.0% -1.7%
1963 27.7% -4.4%
1964 26.7% -3.5%
1965 27.1% +1.4%
1966 27.6% +1.7%
1967 28.4% +3.1%
1968 29.8% +5.0%
1969 29.6% -0.7%
1970 29.5% -0.4%
1971 30.3% +2.7%
1972 33.8% +11.4%
1973 35.9% +6.2%
1974 35.4% -1.2%
1975 39.2% +10.6%
1976 39.8% +1.5%
1977 40.6% +1.9%
1978 43.1% +6.2%
1979 43.6% +1.2%
1980 35.0% -19.6%
1981 37.9% +8.3%
1982 36.4% -4.1%
1983 39.5% +8.5%
1984 38.5% -2.5%
1985 37.7% -2.0%
1986 37.5% -0.5%
1987 40.2% +7.1%
1988 39.9% -0.7%
1989 42.3% +6.0%
1990 46.2% +9.1%
1991 47.7% +3.4%
1992 50.9% +6.7%
1993 53.7% +5.5%
1994 53.2% -1.0%
1995 56.0% +5.2%
1996 52.8% -5.6%
1997 61.9% +17.2%
1998 54.8% -11.4%
1999 59.5% +8.5%
2000 64.1% +7.6%
2001 69.8% +9.0%
2002 73.5% +5.3%
2003 74.1% +0.7%
2004 76.0% +2.7%
2005 83.3% +9.6%
2006 90.0% +8.0%
2007 99.1% +10.1%
2008 101.4% +2.3%
2009 105.0% +3.6%
2010 105.0% +0.0%
2011 106.6% +1.5%
2012 107.5% +0.9%
2013 105.1% -2.2%
2014 108.5% +3.2%
2015 106.5% -1.8%
2016 109.9% +3.2%
2017 110.5% +0.5%
2018 110.5% +0.0%
2019 110.5% +0.0%
2020 128.9% +16.6%
2021 122.3% -5.1%
2022 126.4% +3.4%
2023 118.4% -6.4%
2024 118.5% +0.1%
2025 121.3% +2.4%

Averages by decade

DecadeAverage LowestHighest Years
1960s 28.3% 26.7% 29.8% 10
1970s 37.1% 29.5% 43.6% 10
1980s 38.5% 35.0% 42.3% 10
1990s 53.7% 46.2% 61.9% 10
2000s 83.6% 64.1% 105.0% 10
2010s 108.1% 105.0% 110.5% 10
2020s 122.6% 118.4% 128.9% 6

Countries ranked near Morocco

  1. 15 Nepal 131.2% compare
  2. 16 Cambodia 124.8% compare
  3. 17 Canada 122.6% compare
  4. 19 Malaysia 120.6% compare
  5. 20 Brazil 118.2% compare
  6. 21 United Arab Emirates 114.1% compare

See the full ranking of 210 places →

More financial sector data for Morocco

All data for Morocco →

Frequently asked questions

What is broad money in Morocco?
Broad money in Morocco was 121.3% in 2025, according to International Financial Statistics database, International Monetary Fund (IMF).
What is the highest broad money recorded in Morocco?
The highest recorded value was 128.9% in 2020.
What is the lowest broad money recorded in Morocco?
The lowest recorded value was 26.7% in 1964.
How does Morocco rank for broad money?
Morocco ranks 18th out of 166 countries with data for 2025.
Is broad money rising or falling in Morocco?
Over the last ten years it is up 13.9%. The long-run trend across the full record is volatile.
Where does this Morocco data come from?
The figures come from International Financial Statistics database, International Monetary Fund (IMF), published as part of Broad money (% of GDP). Statizoid updates them automatically from the source API.

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Broad money in Morocco. Statizoid, drawing on International Financial Statistics database, International Monetary Fund (IMF). Retrieved 28 August 2026, from https://financial-sector.statizoid.com/stat/broad-money-percent-of-gdp/morocco/

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About this data

Indicator
Broad money (% of GDP)
Unit
% of GDP
Source
International Financial Statistics database, International Monetary Fund (IMF)
Licence
CC BY 4.0 (World Bank Open Data)
Coverage
210 places, 10,903 data points, 1960–2025
Last refreshed

Broad money is the sum of all liquid financial instruments held by money-holding sectors that are widely accepted in an economy as a medium of exchange, plus those that can be converted into a medium of exchange at short notice at, or close to, their full nominal value. This indicator is expressed as a percentage of Gross Domestic Product (GDP) which is the total income earned through the production of goods and services in an economic territory during an accounting period.