The MacroMonitor's Unique Features
- Accessibility: Our key commitment to our clients:
- Total transparency
- In-house access to our database (using ready-to-run data in SAS, SPSS, or Quanvert)
- Responsive user support
- Thought leadership and industry insight
- Depth of coverage: A more-than-90-page survey covering all financial areas: transactions, credit, insurance, saving and investing, information and advice, and consumer attitudes
- Tracking: Three decades of trendable data
- Accuracy: Continuous variables (no ranges) to calculate summary variables such as net worth, total investable assets, and total outstanding debt—a more accurate tool than respondents' estimates
- Affluent oversampling: Our Full dataset, which includes more high-income, high-asset respondents than would normally occur in a random sample and provides analyzable samples for low-incidence products and consumer populations
- Attitudes and likelihoods: Comprehensive coverage of consumers' attitudes and likely future behavior for most financial products and services


