The GFDatabase provides solutions for those seeking macro level financial data covering one or a multitude of asset classes for both the U.S. and the world. The GFDatabase explores more than 200 global markets and extends back to 1265. Research on the database began in 1992 and continues today both by adding new series and by extending current data sets as additional resources are discovered. GFD’s unique data is used by investment professionals the world over for research, portfolio balancing, back testing, quantitative analysis and modeling resulting in superior investment results.

The GFDatabase covers financial data on the following topics: