S&P Global Equity Indices in Tunisia

Tunisia: S&P Global Equity Indices was -3.1% in 2022. ◆ Volatile

Latest (2022)
-3.1%
Change on year
up 60.2%
World rank
19th
of 84 countries
All-time high
47.9%
in 2006
All-time low
-47.0%
in 1997
Years of data
26
1997–2022

S&P Global Equity Indices in Tunisia, 1997–2022

-40-20020401997200920221997: -47 annual % change1998: -6.4 annual % change1999: 16.8 annual % change2000: 9 annual % change2001: -29 annual % change2002: -2.5 annual % change2003: 14.9 annual % change2004: 4.2 annual % change2005: 11.1 annual % change2006: 47.9 annual % change2007: 15.6 annual % change2008: -3.1 annual % change2009: 40.6 annual % change2010: 11.7 annual % change2011: -13.4 annual % change2012: -12.1 annual % change2013: -11.6 annual % change2014: -9.3 annual % change2015: -11.5 annual % change2016: -0.979 annual % change2017: 5.6 annual % change2018: -8.7 annual % change2019: 3 annual % change2020: -3.9 annual % change2021: -7.9 annual % change2022: -3.1 annual % change

Source: S&P Global BMI, S&P Dow Jones Indices. Measured in annual % change.

Analysis

In 2022, s&p global equity indices in Tunisia stood at -3.1%.

Compared with earlier readings it is up 60.2% on the previous year and up 73.9% over ten years.

Over the whole period, s&p global equity indices in Tunisia peaked at 47.9% in 2006 and was at its lowest, -47.0%, in 1997.

That places Tunisia 19th out of 84 countries with data for 2022, putting it in the top quarter.

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

S&P Global Equity Indices in Tunisia, year by year

Annual values for S&P Global Equity Indices (annual % change) in Tunisia, 1997 to 2022.
Year annual % change Change
1997 -47.0%
1998 -6.4% -86.4%
1999 16.8% -363.4%
2000 9.0% -46.4%
2001 -29.0% -422.0%
2002 -2.5% -91.4%
2003 14.9% -696.8%
2004 4.2% -71.8%
2005 11.1% +164.3%
2006 47.9% +331.8%
2007 15.6% -67.5%
2008 -3.1% -119.8%
2009 40.6% -1415.7%
2010 11.7% -71.2%
2011 -13.4% -215.2%
2012 -12.1% -10.2%
2013 -11.6% -3.9%
2014 -9.3% -20.0%
2015 -11.5% +23.7%
2016 -1.0% -91.5%
2017 5.6% -673.1%
2018 -8.7% -255.4%
2019 3.0% -133.9%
2020 -3.9% -230.3%
2021 -7.9% +105.2%
2022 -3.1% -60.2%

Averages by decade

DecadeAverage LowestHighest Years
1990s -12.2% -47.0% 16.8% 3
2000s 10.9% -29.0% 47.9% 10
2010s -4.7% -13.4% 11.7% 10
2020s -5.0% -7.9% -3.1% 3

Countries ranked near Tunisia

  1. 16 Greece -0.8% compare
  2. 17 Thailand -1.0% compare
  3. 18 Portugal -3.1% compare
  4. 20 Namibia -3.3% compare
  5. 21 Mexico -3.5% compare
  6. 22 Brazil -4.4% compare

See the full ranking of 84 places →

More financial sector data for Tunisia

All data for Tunisia →

Frequently asked questions

What is s&p global equity indices in Tunisia?
S&p global equity indices in Tunisia was -3.1% in 2022, according to S&P Global BMI, S&P Dow Jones Indices.
What is the highest s&p global equity indices recorded in Tunisia?
The highest recorded value was 47.9% in 2006.
What is the lowest s&p global equity indices recorded in Tunisia?
The lowest recorded value was -47.0% in 1997.
How does Tunisia rank for s&p global equity indices?
Tunisia ranks 19th out of 84 countries with data for 2022.
Is s&p global equity indices rising or falling in Tunisia?
Over the last ten years it is up 73.9%. The long-run trend across the full record is volatile.
Where does this Tunisia data come from?
The figures come from S&P Global BMI, S&P Dow Jones Indices, published as part of S&P Global Equity Indices (annual % change). Statizoid updates them automatically from the source API.

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S&P Global Equity Indices in Tunisia. Statizoid, drawing on S&P Global BMI, S&P Dow Jones Indices. Retrieved 28 August 2026, from https://financial-sector.statizoid.com/stat/s-and-p-global-equity-indices-annual-percent-change/tunisia/

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About this data

Indicator
S&P Global Equity Indices (annual % change)
Unit
annual % change
Source
S&P Global BMI, S&P Dow Jones Indices
Licence
CC BY 4.0 (World Bank Open Data)
Coverage
84 places, 2,194 data points, 1990–2022
Last refreshed

S&P Global Equity Indices measure the U.S. dollar price change in the stock markets covered by the S&P BMI country indices.