Here’s a snapshot of the Compound Annual Growth Rate (CAGR) for major stock markets over the past 10 years, based on index-level performance:
| Market | Approx. 10-Year CAGR | Index Used | Notes |
|---|---|---|---|
| India | ~10.9% | Nifty Large Cap Index | Outperformed peers with strong macro fundamentals and corporate earnings. |
| China | ~2.7% | MSCI China Index | Weighed down by regulatory pressures and slower growth. |
| Australia | ~9.4% | ASX 200 (All Ords TR) | Stable returns with strong dividend yield. |
| USA | ~15% | S&P 500 | Led by tech sector and post-COVID bull run. |
These figures are in local currency terms and reflect index-level returns, not individual stock or fund performance. If you're comparing for investment purposes, I can help factor in currency effects or simulate SIP-style returns across these markets. Want to explore that? ๐๐
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