Mauritius - Stocks traded

Stocks traded, total value (current US$)

The latest value for Stocks traded, total value (current US$) in Mauritius was 522,465,300 as of 2011. Over the past 21 years, the value for this indicator has fluctuated between 522,465,300 in 2011 and 5,000,000 in 1991.

Definition: Stocks traded refers to the total value of shares traded during the period.

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

See also:

Year Value
1990 6,000,000
1991 5,000,000
1992 10,000,000
1993 39,000,000
1994 85,000,000
1995 70,000,000
1996 78,000,000
1997 135,000,000
1998 101,000,000
1999 76,450,000
2000 75,440,000
2001 111,860,000
2002 56,800,000
2003 99,130,000
2004 95,480,000
2005 151,010,000
2006 137,430,000
2007 369,000,000
2008 403,241,000
2009 329,747,700
2010 357,443,900
2011 522,465,300

Stocks traded, total value (% of GDP)

Stocks traded, total value (% of GDP) in Mauritius was 3.68 as of 2010. Its highest value over the past 20 years was 4.74 in 2007, while its lowest value was 0.18 in 1991.

Definition: Stocks traded refers to the total value of shares traded during the period. This indicator complements the market capitalization ratio by showing whether market size is matched by trading.

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

See also:

Year Value
1990 0.23
1991 0.18
1992 0.31
1993 1.20
1994 2.39
1995 1.73
1996 1.76
1997 3.22
1998 2.42
1999 1.78
2000 1.65
2001 2.47
2002 1.19
2003 1.77
2004 1.50
2005 2.40
2006 2.11
2007 4.74
2008 4.18
2009 3.74
2010 3.68

Stocks traded, turnover ratio (%)

The value for Stocks traded, turnover ratio (%) in Mauritius was 8.01 as of 2011. As the graph below shows, over the past 20 years this indicator reached a maximum value of 9.35 in 2001 and a minimum value of 1.72 in 1991.

Definition: Turnover ratio is the total value of shares traded during the period divided by the average market capitalization for the period. Average market capitalization is calculated as the average of the end-of-period values for the current period and the previous period.

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

See also:

Year Value
1991 1.72
1992 2.75
1993 6.46
1994 7.39
1995 4.93
1996 5.19
1997 8.08
1998 5.75
1999 4.38
2000 5.07
2001 9.35
2002 4.75
2003 6.04
2004 4.41
2005 6.05
2006 4.42
2007 7.97
2008 8.85
2009 8.06
2010 6.36
2011 8.01

Classification

Topic: Financial Sector Indicators

Sub-Topic: Capital markets