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    CALCULATORiQ™
    Part of the Property and Energy Stability Series

    Global Housing Risk Index

    Compare structural housing vulnerability across seven economies using six weighted risk indicators. Select a preset or adjust sliders to model custom scenarios.

    Risk Indicators

    5.2x

    Median house price relative to median household income

    100%

    Household debt as percentage of disposable income

    10%

    Share of mortgages resetting within 24 months

    50%

    Share of mortgage lending held by top 5 institutions

    18%

    Estimated share of investor purchases vs owner-occupier

    55%

    Construction sector responsiveness to demand (higher = lower risk)

    Composite Risk Score

    35
    Moderate
    0 Low50 Elevated100 Critical

    Risk Profile

    Component Scores

    Price-to-Income26
    Household Leverage40
    Refinancing Exposure10
    Bank Concentration50
    Speculative Ratio36
    Supply Risk45

    Read the Full Analysis

    Global Housing Stress 2026: Canada, United States, Europe, and the Middle East Compared. 4,800-word institutional analysis of cross-regional housing vulnerability.

    Read the article