Comprehensive global macroeconomic data and analytics

Spot shifts in economic conditions first with our unique suite of global macroeconomic and alternative data.

Trusted economic intelligence across emerging markets

  • 22M time series standardised for cross-country analysis, including high-frequency and Point-inTime data for quant workflows.
  • Coverage across 200+ countries and regions, with in-depth EM market intelligence and proprietary data
  • 4,000+ international, local and alternative data sources
  • 5 premium databases covering ASEAN, Brazil, China, India and Russia
  • Used by economists, quants, analysts, and policy teams
  • Awarded Best Alternative Data Provider to the Buyside (2024) by Waters Technology
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The challenge of fragmented data

Economic and market analysis depends on timely, consistent data. In practice, that data is often spread across multiple sources, released on different schedules and unhelpfully structured.  Common challenges include:

  • High-frequency and alternative indicators sitting outside core datasets or lacking comparison context
  • Inconsistent country-level structures that limit cross-market analysis, particularly across emerging markets
  • Manual effort required to align, validate, and reconcile data before analysis begins
  • Market conditions changing before insight is ready, increasing uncertainty across research, policy, and investment decisions

A single source of economic data for market analysis

CEIC consolidates official statistics, proprietary datasets, and alternative indicators into a single, structured data environment. Economic data is standardized at country level, allowing you to work with consistent time series across emerging markets - without manual reconciliation.

Our data is used by economists, analysts, and decision-makers across the buyside, investment and commercial banks, governments, corporates, professional services firms and academics. CEIC supports a wide range of analytical work, from macroeconomic monitoring and forecasting. strategic planning, policy analysis and more:

  • Access macroeconomic, sector, trade, and financial data
  • Combine high-frequency and alternative indicators with official releases in one dataset
  • Compare countries, regions, and time periods using standardized structures
  • Work with long historical series, revision histories, and full metadata to support analysis and validation
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Key features 
& benefits

  • Standardised economic time series

    Country-level data is structured consistently, making cross-market and cross-region analysis faster and more reliable.

  • High-frequency and alternative indicators

    Track changes in economic activity ahead of official releases using datasets that reflect real-world conditions as they develop.

  • Deep historical coverage and revision histories

    Work with long time series and point-in-time data to support forecasting, back-testing, and model validation.

  • Broad emerging market coverage

    Access detailed economic, sector, trade, and financial data across major growth economies and frontier markets.

  • Full metadata and methodology context

    Data definitions, sources, and revisions are clearly documented, supporting transparency and defensible analysis.

  • Data Delivery

    Snowflake, API, Feeds and Platform.

Solutions

Global database

Critical macro, financial, and industry data from official and alternative sources.

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World trend plus

A single access point for benchmarking and reference data, providing robust and in-depth insights into the performance of global economies.

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ASEAN premium

Offers a harmonised view of the region with 5M+ time series, 42K+ indicators, and 400+ sources. Essential for understanding Southeast Asia’s fast-evolving economies.

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Brazil premium

Delivers deep, reliable data on Brazil’s sectors and industries, giving users expert insight into the country’s dynamic economy.

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China premium

Offers 1M+ time-series records on macro, sector, and regional data, providing a complete resource for research on China’s economy.

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India premium

800k+ time series across macro, 20+ industries, and HS trade data structured from national down to state, district and city level. Designed to surface regional divergence and sector trends that national aggregates often miss.

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Russia premium

Bilingual, continuously updated macro, sectoral, trade and alternative datasets, blending official statistics with hard-to-find local sources. Built to reveal region- and sector-driven dynamics beyond headline indicators.

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High frequency data

500k+ daily and weekly time series across 15 alternative data topics to track the economy in near-real time. Covers consumption, trade & supply chains, prices/inflation and mobility to spot turning points ahead of official releases.

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Use cases

Buyside

CEIC helps identify turning points and monitor sector performance. High-frequency and alternative indicators as well as local-source data for emerging markets provide you with early visibility into economic shifts that inform exposure, and risk management decisions.

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Corporates

Corporate strategy, finance, and planning teams rely on CEIC to assess market conditions, demand trends, and country risk. Our data allows you to conduct scenario analysis, market entry assessment, and long-term planning using consistent economic and sector data across regions and industries.

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Governments, central banks & multilateral organisations

Policy teams and economists use CEIC to track macroeconomic trends and evaluate economic performance. Standardised datasets and long historical series enable you to make comparisons across countries and time periods, supporting evidence-based policy work and reporting.

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Academia

CEIC provides best-in-class economic databases for academic use. Long historical series, seamless cross-country comparability, and non-public data support research on business cycles, secular trends, and economic development—underpinning research output, applied learning, and institutional collections.

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