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Graph and download economic data for Money Market Funds; Total Financial Assets, Level (MMMFFAQ027S) from Q4 1945 to Q1 2025 about MMMF, IMA, financial, assets, and USA.
Live Briefs Investor – US Covering thousands of listed securities and events across 80 news categories, Live Briefs Investor US is specifically designed to keep individual investors and active traders on top of breaking news that is likely to affect their portfolios.
Most of the largest and most respected retail and self-directed brokerage firms in the North America rely on MT Newswires to provide their clients with complete coverage of the financial markets. The Investor service includes timely and insightful commentary on equities, commodities, ETFs, economics, forex, options and fixed income assets throughout the day (6:30 am to 6:30 pm EST).
Every story is ticker-tagged and category-coded to allow for seamless platform integration. US Equities – significant events affecting individual public companies in the US: After-hours and pre-market news, trading activity and technical price level indications; Earnings estimate change alerts; Analyst Rating Changes- the most comprehensive view and coverage of rating changes available anywhere; ETF Power Play – daily trends in ETF trading activity; Mini and detailed sector summaries – pre-market, mid-day, and closing; Market Chatter – real-time coverage of trading desk rumors and breaking news; Zero noise: Only premium, original news and event analysis. Never any fillers (press releases, non-market related news, etc.).
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Financial data service providers offer financial market data and related services, primarily real-time feeds, portfolio analytics, research, pricing and valuation data, to financial institutions, traders and investors. Companies aggregate data and content from stock exchange feeds, broker and dealer desks and regulatory filings to distribute financial news and business information to the investment community. Recent globalization of the world capital market has benefited the financial sector and increased trading speed. Businesses rely on real-time data more than ever to help them make informed decisions. When considering a data service provider, an easy-to-use interface that shows customized, relevant information is vital for clients. During times of economic uncertainty, this information becomes more crucial than ever. Clients want information as soon and as frequently as possible, causing providers to prioritize efficiency and delivery. This was evident during the pandemic, the high interest rate environment in the latter part of the period and as the Fed cuts rates in 2024. Increased automation has helped industry players process large volumes of financial data, reducing analysis and reporting times. In addition, automation has reduced operational costs and reduced human data errors. These trends have resulted in growing revenue, which has risen at a CAGR of 3.2% to $21.9 billion over the past five years, including a 3.5% uptick in 2024 alone. Corporate profit will continue to expand as inflationary concerns begin to wane slowly. This will lead many companies to take on new clients as financial data helps them gain insight into operating their business amid ongoing trends and economic shakeups. With technology constantly advancing, service providers will continue investing in research and development to improve their products and services and best serve their clients. As technological advances continue, smaller players will be able to better compete with larger industry players. While this may lead to new companies joining the industry, larger providers will resume consolidation activity to expand their customer base. Overall, revenue is expected to swell at a CAGR of 2.7% to $25.0 billion by the end of 2029.
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The United States financial services market size attained a value of USD 60.65 Billion in 2024. The market is expected to grow at a CAGR of 7.47% between 2025 and 2034, reaching almost USD 124.65 Billion by 2034.
In 2024, ** percent of adults in the United States invested in the stock market. This figure has remained steady over the last few years, and is still below the levels before the Great Recession, when it peaked in 2007 at ** percent. What is the stock market? The stock market can be defined as a group of stock exchanges, where investors can buy shares in a publicly traded company. In more recent years, it is estimated an increasing number of Americans are using neobrokers, making stock trading more accessible to investors. Other investments A significant number of people think stocks and bonds are the safest investments, while others point to real estate, gold, bonds, or a savings account. Since witnessing the significant one-day losses in the stock market during the Financial Crisis, many investors were turning towards these alternatives in hopes for more stability, particularly for investments with longer maturities. This could explain the decrease in this statistic since 2007. Nevertheless, some speculators enjoy chasing the short-run fluctuations, and others see value in choosing particular stocks.
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Market Size statistics on the Financial Data Service Providers industry in the US
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Graph and download economic data for Financial Market: Real Effective Exchange Rates: CPI Based for United States (CCRETT01USA661N) from 1970 to 2024 about exchange rate, currency, CPI, manufacturing, real, rate, price index, indexes, price, and USA.
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The average for 2021 based on 18 countries was 0.252 index points. The highest value was in Canada: 0.999 index points and the lowest value was in Nicaragua: 0.003 index points. The indicator is available from 1980 to 2021. Below is a chart for all countries where data are available.
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The US Capital Market Exchange Ecosystem is Segmented by Type of Market (Primary Market and Secondary Market), by Financial Instruments (Debt and Equity), and by Investors (Retail Investors and Institutional Investors). The report offers market size and forecasts for the US Capital Market Exchange Ecosystem in value (USD Million) for all the above segments.
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The main stock market index of United States, the US500, fell to 6295 points on July 18, 2025, losing 0.04% from the previous session. Over the past month, the index has climbed 5.47% and is up 14.34% compared to the same time last year, according to trading on a contract for difference (CFD) that tracks this benchmark index from United States. United States Stock Market Index - values, historical data, forecasts and news - updated on July of 2025.
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The USA: Financial markets development, depth: The latest value from 2021 is 0.988 index points, unchanged from 0.988 index points in 2020. In comparison, the world average is 0.255 index points, based on data from 157 countries. Historically, the average for the USA from 1980 to 2021 is 0.733 index points. The minimum value, 0.171 index points, was reached in 1981 while the maximum of 0.988 index points was recorded in 1998.
Since 2000, the financial assets of the money market mutual funds in the United States grew steadily. In 2023, the financial assets of the money market mutual funds exceeded 6.3 trillion U.S. dollars, a significant increase of 20 percent compared to the previous year.
This statistic presents the volume of money market instruments outstanding in the United States from 2000 to 2018. In 2018, the volume of the money market instruments outstanding in the United States was approximately 0.99 trillion U.S. dollars.
The money market is an informal network of banks, brokers, dealers and financial institutions which are linked electronically. Money market mutual funds are the most accessible option for individual investors in the money market.
Embedded finance is a new trend which emerged in the fintech sector in the last two years. In the United States, the revenue generated by embedded finance in 2020 was estimated at **** billion U.S. dollars, and was forecast to reach over *** billion U.S. dollars by 2025. Embedded finance consists in integrating financial services and products in non-financial businesses, so that companies not operating in the financial services sector can independently provide financial solutions tied to their products or services.
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United States Assets: Flow: Money Market Mutual Funds (MM) data was reported at -54.345 USD bn in Mar 2018. This records a decrease from the previous number of 99.599 USD bn for Dec 2017. United States Assets: Flow: Money Market Mutual Funds (MM) data is updated quarterly, averaging 0.000 USD bn from Dec 1951 (Median) to Mar 2018, with 266 observations. The data reached an all-time high of 411.944 USD bn in Dec 2008 and a record low of -332.086 USD bn in Mar 2010. United States Assets: Flow: Money Market Mutual Funds (MM) data remains active status in CEIC and is reported by Federal Reserve Board. The data is categorized under Global Database’s USA – Table US.AB024: Funds by Sector: Flows and Outstanding: Mutual Funds.
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Key information about United States Market Capitalization: % of GDP
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United States - Money Market Funds; Total Financial Assets, Level was 7397905.00000 Mil. of $ in January of 2025, according to the United States Federal Reserve. Historically, United States - Money Market Funds; Total Financial Assets, Level reached a record high of 7397905.00000 in January of 2025 and a record low of 0.00000 in October of 1946. Trading Economics provides the current actual value, an historical data chart and related indicators for United States - Money Market Funds; Total Financial Assets, Level - last updated from the United States Federal Reserve on July of 2025.
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United States OFR Financial Stress Index: Emerging Markets data was reported at -0.246 Index in 13 May 2025. This records a decrease from the previous number of -0.245 Index for 12 May 2025. United States OFR Financial Stress Index: Emerging Markets data is updated daily, averaging -0.054 Index from Jan 2000 (Median) to 13 May 2025, with 6409 observations. The data reached an all-time high of 1.232 Index in 23 Mar 2020 and a record low of -0.471 Index in 16 Feb 2021. United States OFR Financial Stress Index: Emerging Markets data remains active status in CEIC and is reported by Office of Financial Research. The data is categorized under Global Database’s United States – Table US.S: OFR Financial Stress Index.
In 2025, stock markets in the United States accounted for roughly ** percent of world stocks. The next largest country by stock market share was China, followed by the European Union as a whole. The New York Stock Exchange (NYSE) and the NASDAQ are the largest stock exchange operators worldwide. What is a stock exchange? The first modern publicly traded company was the Dutch East Industry Company, which sold shares to the general public to fund expeditions to Asia. Since then, groups of companies have formed exchanges in which brokers and dealers can come together and make transactions in one space. Stock market indices group companies trading on a given exchange, giving an idea of how they evolve in real time. Appeal of stock ownership Over half of adults in the United States are investing money in the stock market. Stocks are an attractive investment because the possible return is higher than offered by other financial instruments.
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The average for 2021 based on 14 countries was 0.295 index points. The highest value was in Panama: 0.771 index points and the lowest value was in Guatemala: 0.007 index points. The indicator is available from 1980 to 2021. Below is a chart for all countries where data are available.
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Graph and download economic data for Money Market Funds; Total Financial Assets, Level (MMMFFAQ027S) from Q4 1945 to Q1 2025 about MMMF, IMA, financial, assets, and USA.