25 YEARS IN INDIA: LEADING WITH IMPACT
Most high frequency indicators improved vs. pre-COVID levels
Growth
Macro Indicators
Vs. Pre-covid
Vs. Last year
Vs. Last month
Apr❜22
Apr'19
CAGR1
Apr❜21
YOY
Mar' 22
MOM
UPI Value (INR Tn)
10.0
1.4
91%
5.0
99%
9.6
2%
+
Total Deposits (INR Tn)*
164.7
125.7
9%
151.1
9%
162.2
2%
Banking, Financial
Total Credit (INR Tn)*
119.0
97.7
7%
109.5
9%
116.4
2%
Services &
Insurance
NSE+BSE Txs. (INR K Cr)
1370.0
696.0
25%
1413.6
-3%
1491.3
-8%
Insurance Prem. (INR K Cr)
39.5
26.0
15%
27.0
46%
81.2
-51%
GST Collections (INR Tn)
1.7
1.1
14%
1.4
18%
1.4
18%
WPI (%)
15%
CPI (%)
7%
Jan Dhan Deposits (INR Tn)
1.7
1.0
19%
1.4
16%
1.7
0%
Macroeconomic
MGNREGA Emp. (HH)
17.1
17.0
0%
21.3
-20%
19.2
-11%
Manufacturing PMI (Index)
54.7
51.8
2%
55.5
-1%
54.0
1%
Services PMI (Index)
57.9
51.0
4%
54.0
7%
53.6
8%
Current Situation Index
*
71.7
104.6
-12%
53.1
35%
64.4
11%
Sentiment
Future Expectations Index
115.2
133.4
-5%
108.8
6%
103.0
12%
*
Data available only upto Mar'22 as on 30-May - hence growth comparisons are for March and not April. Mar'22 data has been compared with Mar'19, Mar'21 & Feb'22 data for the pre-COVID CAGR, YoY & MOM growth comparisons.
1. CAGR calculated by taking 2022 month-wise data vs. 2019 levels (for respective month)
5
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