Financial Markets Index in Slovakia

Slovakia: Financial Markets Index was 0.029 in 2020. ◆ Volatile

Latest (2020)
0.029
Change on year
down 9.4%
World rank
111th
of 183 countries
All-time high
0.0824
in 2000
All-time low
0
in 1980
Years of data
41
1980–2020

Financial Markets Index in Slovakia, 1980–2020

00.020.040.060.081980200020201980: 01981: 01982: 01983: 01984: 01985: 01986: 01987: 01988: 01989: 01990: 01991: 0.0341992: 0.0341993: 0.0311994: 0.0291995: 0.0241996: 0.0261997: 0.0381998: 0.0591999: 0.0552000: 0.0822001: 0.0582002: 0.0472003: 0.0372004: 0.0342005: 0.0222006: 0.0252007: 0.0422008: 0.0322009: 0.052010: 0.0652011: 0.0692012: 0.0452013: 0.0552014: 0.0362015: 0.0382016: 0.0382017: 0.0382018: 0.0332019: 0.0322020: 0.029

Source: International Monetary Fund.

Analysis

The most recent figure for financial markets index in Slovakia is 0.029, measured in 2020.

The figure is down 9.4% on the previous year and down 55.5% over ten years.

Over the whole period, financial markets index in Slovakia peaked at 0.0824 in 2000 and was at its lowest, 0, in 1980.

Slovakia ranks 111th of 183 countries on this measure, in the middle of the range.

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

Financial Markets Index in Slovakia, year by year

Annual values for Financial Markets Index in Slovakia, 1980 to 2020.
Year Value Change
1980 0 —
1981 0 —
1982 0 —
1983 0 —
1984 0 —
1985 0 —
1986 0 —
1987 0 —
1988 0 —
1989 0 —
1990 0 —
1991 0.0344 —
1992 0.0344 +0.0%
1993 0.0313 -8.9%
1994 0.0289 -7.8%
1995 0.0237 -17.9%
1996 0.0263 +10.9%
1997 0.0379 +44.3%
1998 0.0592 +56.3%
1999 0.0549 -7.3%
2000 0.0824 +50.0%
2001 0.0575 -30.2%
2002 0.0472 -17.9%
2003 0.0371 -21.5%
2004 0.0338 -9.0%
2005 0.022 -34.8%
2006 0.0246 +11.7%
2007 0.0421 +71.2%
2008 0.0319 -24.2%
2009 0.0503 +57.8%
2010 0.0653 +29.8%
2011 0.0694 +6.3%
2012 0.0448 -35.4%
2013 0.0545 +21.8%
2014 0.0357 -34.5%
2015 0.0376 +5.3%
2016 0.0378 +0.6%
2017 0.0377 -0.3%
2018 0.0327 -13.3%
2019 0.032 -2.0%
2020 0.029 -9.4%

Slovakia compared with similar countries

  • Slovakia's 0.029 is below the median for high income countries, which is 0.4141, 7% of the median. (62 countries reporting)
  • Slovakia's 0.029 is below the median for Europe & Central Asia, which is 0.2842, 10% of the median. (47 countries reporting)

Averages by decade

DecadeAverage LowestHighest Years
1980s 0 0 0 10
1990s 0.0331 0 0.0592 10
2000s 0.0429 0.022 0.0824 10
2010s 0.0447 0.032 0.0694 10
2020s 0.029 0.029 0.029 1

Countries ranked near Slovakia

  1. 108 Ukraine 0.0328 compare
  2. 109 Rwanda 0.032 compare
  3. 110 Chad 0.0294 compare
  4. 112 Ecuador 0.0265 compare
  5. 113 Turkmenistan 0.0211 compare
  6. 114 Armenia 0.021 compare

See the full ranking of 192 places →

More financial sector data for Slovakia

All data for Slovakia →

Frequently asked questions

What is financial markets index in Slovakia?
Financial markets index in Slovakia was 0.029 in 2020, according to International Monetary Fund.
What is the highest financial markets index recorded in Slovakia?
The highest recorded value was 0.0824 in 2000.
What is the lowest financial markets index recorded in Slovakia?
The lowest recorded value was 0 in 1980.
How does Slovakia rank for financial markets index?
Slovakia ranks 111th out of 183 countries with data for 2020.
Is financial markets index rising or falling in Slovakia?
Over the last ten years it is down 55.5%. The long-run trend across the full record is volatile.
Where does this Slovakia data come from?
The figures come from International Monetary Fund, published as part of Financial Markets Index. Statizoid updates them automatically from the source API.

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Financial Markets Index in Slovakia. Statizoid, drawing on International Monetary Fund. Retrieved 07 October 2026, from https://financial-sector.statizoid.com/stat/financial-markets-index/slovak-republic/

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About this data

Indicator
Financial Markets 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.