Stock market turnover ratio in Italy

Italy: Stock market turnover ratio was 350.0% in 2014. ◆ Volatile

Latest (2014)
350.0%
Change on year
up 179.8%
World rank
3rd
of 90 countries
All-time high
165,149.0%
in 1998
All-time low
14.0%
in 1982
Years of data
39
1975–2014

Stock market turnover ratio in Italy, 1975–2014

050.0k100.0k150.0k1975199420141975: 15.2 %1977: 14 %1978: 20.1 %1979: 26.9 %1980: 33.8 %1981: 45.3 %1982: 14 %1983: 18.5 %1984: 15.7 %1985: 23.6 %1986: 27.3 %1987: 26.9 %1988: 23.3 %1989: 24.8 %1990: 28.3 %1991: 14.2 %1992: 22.3 %1993: 45.4 %1994: 64.2 %1995: 41.6 %1996: 40 %1997: 58.9 %1998: 165.1k %1999: 73.6 %2000: 128.8 %2001: 113.7 %2002: 120.8 %2003: 119.1 %2004: 114 %2005: 132.2 %2006: 117.8 %2007: 206.4 %2008: 265.2 %2009: 141.3 %2010: 124.4 %2011: 196.2 %2012: 162.4 %2013: 125.1 %2014: 350 %

Source: Global Stock Markets Factbook and supplemental S&P data, Standard & Poor's. Measured in %.

Analysis

The most recent figure for stock market turnover ratio in Italy is 350.0%, measured in 2014.

The figure is up 179.8% on the previous year and up 207.0% over ten years.

Over the whole period, stock market turnover ratio in Italy peaked at 165,149.0% in 1998 and was at its lowest, 14.0%, in 1982.

That places Italy 3rd out of 90 countries with data for 2014, putting it in the top 10%.

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

Stock market turnover ratio in Italy, year by year

Annual values for Stock market turnover ratio (%) in Italy, 1975 to 2014.
Year % Change
1975 15.2%
1977 14.0% -7.3%
1978 20.1% +42.9%
1979 26.9% +34.1%
1980 33.8% +25.7%
1981 45.3% +33.9%
1982 14.0% -69.1%
1983 18.5% +32.4%
1984 15.7% -15.1%
1985 23.6% +49.9%
1986 27.3% +16.0%
1987 26.9% -1.6%
1988 23.3% -13.3%
1989 24.8% +6.3%
1990 28.3% +14.3%
1991 14.2% -49.9%
1992 22.3% +57.4%
1993 45.4% +103.1%
1994 64.2% +41.4%
1995 41.6% -35.2%
1996 40.0% -3.8%
1997 58.9% +47.5%
1998 165,149.0% +280116.6%
1999 73.6% -100.0%
2000 128.8% +75.0%
2001 113.7% -11.7%
2002 120.8% +6.3%
2003 119.1% -1.4%
2004 114.0% -4.3%
2005 132.2% +15.9%
2006 117.8% -10.9%
2007 206.4% +75.2%
2008 265.2% +28.5%
2009 141.3% -46.7%
2010 124.4% -11.9%
2011 196.2% +57.7%
2012 162.4% -17.2%
2013 125.1% -23.0%
2014 350.0% +179.8%

Averages by decade

DecadeAverage LowestHighest Years
1970s 19.0% 14.0% 26.9% 4
1980s 25.3% 14.0% 45.3% 10
1990s 16,553.8% 14.2% 165,149.0% 10
2000s 145.9% 113.7% 265.2% 10
2010s 191.6% 124.4% 350.0% 5

Countries ranked near Italy

  1. 1 Finland 927.8% compare
  2. 2 Türkiye 365.8% compare
  3. 4 China 258.6% compare
  4. 5 Republic of Korea 238.5% compare
  5. 6 Brazil 139.0% compare

See the full ranking of 90 places →

More financial sector data for Italy

All data for Italy →

Frequently asked questions

What is stock market turnover ratio in Italy?
Stock market turnover ratio in Italy was 350.0% in 2014, according to Global Stock Markets Factbook and supplemental S&P data, Standard & Poor's.
What is the highest stock market turnover ratio recorded in Italy?
The highest recorded value was 165,149.0% in 1998.
What is the lowest stock market turnover ratio recorded in Italy?
The lowest recorded value was 14.0% in 1982.
How does Italy rank for stock market turnover ratio?
Italy ranks 3rd out of 90 countries with data for 2014.
Is stock market turnover ratio rising or falling in Italy?
Over the last ten years it is up 207.0%. The long-run trend across the full record is volatile.
Where does this Italy data come from?
The figures come from Global Stock Markets Factbook and supplemental S&P data, Standard & Poor's, published as part of Stock market turnover ratio (%). Statizoid updates them automatically from the source API.

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Stock market turnover ratio in Italy. Statizoid, drawing on Global Stock Markets Factbook and supplemental S&P data, Standard & Poor's. Retrieved 30 August 2026, from https://financial-sector.statizoid.com/stat/stock-market-turnover-ratio-percent/italy/

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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.