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Featured
Blog Dec 12, 2024

Fishing for CHPIs: Trade flows adapt to sanctions on Russia

Blog Dec 10, 2024

Power plays: Themes for 2025

Blog Nov 19, 2024

Global economic outlook: November 2024

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US presidential election impact: Region by region

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Viewing 1 - 10 of 856 results

  1. Fishing for CHPIs: Trade flows adapt to sanctions on Russia

    11 December 2024 Chris Rogers Byron McKinney

    Controlling the supply chains of Common High Priority Items (CHPIs) has been a critical part of sanctions applied by the US and EU.

    • Trade Policy
    • Trade Data
    • Supply Chain Risk
    • Supply Chain Logistics
    • Seaborne Trade
  2. Power plays: Themes for 2025

    09 December 2024

    We identify aspects of each theme as critical for organizations seeking adaptive strategies to navigate risks and discover opportunities.

    • Trade Policy
    • Supply Chain Risk
    • Supply Chain Logistics
    • Ports and terminals
    • Economic Risk
    • Economic forecasts and analysis
    • Country risk
    • Banking Risk
  3. Global economic outlook: November 2024

    18 November 2024 Ken Wattret

    Our forecasts have not changed materially in November’s update, but uncertainty over the outlook has risen markedly.

    • Economic Risk
    • Economic forecasts and analysis
    • Economic Data
  4. US presidential election impact: Region by region

    13 November 2024

    We look at the potential impact of the US election results from Latin America to Sub-Saharan Africa.

    • Supply Chain Risk
    • Political Risk
    • Operational Risk
    • Economic Risk
    • Economic forecasts and analysis
    • Country risk
  5. Toy supply chains avoid 2024’s hurdles

    07 November 2024 Eric Oak Chris Rogers

    The toy industry has one of the most seasonal supply chains, raising the stakes for ensuring delivery of the right products in a narrow timeframe....

    • Supply Chain Risk
    • Supply Chain Logistics
  6. Supply chain strategies to mitigate tariffs

    06 November 2024 Eric Oak Chris Rogers

    The return to office of President-elect Donald Trump brings the prospect of a renewed round of import tariffs to the US.

    • Trade Policy
    • Supply Chain Risk
    • Supply Chain Logistics
  7. US Halloween candy spending to surpass of $4 billion in 2024

    23 October 2024 Michael Zdinak

    American households are expected to spend close to $31 on average on Halloween candy this year, with spending rising to an all-time high of $4...

    • Economic forecasts and analysis
    • Economic Data
    • Consumer Spending
  8. Global economic outlook: October 2024

    15 October 2024 Ken Wattret

    Policy stimulus supports continued economic expansion, although risks remain.

    • Economic Risk
    • Economic forecasts and analysis
    • Economic Data
  9. Three storms, three shortages: Supply chains wrestle to react to storms

    10 October 2024 Chris Rogers

    The 2024 storm season in both the Pacific and Atlantic basins have created additional supply chain diruptions

    • Supply Chain Risk
    • Economic Risk
  10. US extends metals protectionism

    06 May 2024 Todd C. Lee John Raines John Anton Amanda Eglinton

    The impact of US tariffs on trade with China is likely to be minimal given the existing range of tariffs applied to Chinese steel.

    • Trade Policy
    • Supply Chain Risk
    • Supply Chain Logistics
    • Metal Markets
    • Commodities
  11. Europe: Key themes to watch in 2024

    31 January 2024 Natasha McSwiggan Michael Dall Lucas Casalino Laurence Allan Dijedon Imeri Diego Iscaro Bibianna Norek Alex Kokcharov

    We assess key dynamics shaping Europe’s operational and investment environment in 2024.

    • Supply Chain Risk
    • Political Risk
    • Monetary Policy
    • Inflation
    • Economic Risk
    • Economic forecasts and analysis
    • Country risk
  12. Festive reshoring: Holiday decoration supply chains shift

    12 October 2023 Chris Rogers

    While seasonality appears to be returning to normal, we see evidence of a steady process of reshoring for Christmas decorations.

    • Trade Policy
    • Trade Data
    • Supply Chain Risk
    • Supply Chain Logistics
    • Operational Risk
  13. The outlook for inflation? It's sticky

    20 September 2023 Ken Wattret

    The near-term outlook for inflation has deteriorated as crude oil prices have risen.

    • Monetary Policy
    • Interest Rates
    • Inflation Rates
    • Inflation
    • Economic Risk
    • Economic forecasts and analysis
    • Economic Data
  14. Below average: US back-to-school sales in 2023

    11 August 2023 Michael Zdinak Chris Rogers

    Back to school shopping data is in. How does it stack up to last year?

    • Trade Data
    • Strategic Sourcing
    • Economic Data
    • Consumer Spending
  15. US monthly GDP index for June 2023

    04 August 2023 Caroline Foshee Ben Herzon

    Monthly US GDP has strong momentum heading into the third quarter.

    • Economic forecasts and analysis
    • Economic Data
  16. India’s food supply chain intervention

    28 July 2023 Deepa Kumar Chris Rogers

    India's rice restrictions come amid concerns around domestic price inflation resulting from food supply chain disruptions.

    • Trade Policy
    • Supply Chain Risk
    • Supply Chain Logistics
    • Political Risk
  17. US Weekly Economic Commentary: Resilience, stubborn inflation, more rate hikes

    10 July 2023 Lawrence Nelson Ben Herzon Akshat Goel

    Labor data is going in the opposite direction from what would be required to see core price inflation decline sustainably to the Fed’s target....

    • Economic Risk
    • Economic forecasts and analysis
    • Economic Data
  18. Euro adoption: After Croatia, who's next?

    15 May 2023 Shuchita Shukla Dragana Ignjatovic Anja Heimann

    Political will from existing and aspiring members will be more decisive than the Maastricht criteria in the eurozone accession timelines.

    • Political Risk
    • Economic Risk
    • Economic forecasts and analysis
  19. Banking risk monthly outlook: May 2023

    05 May 2023 Natasha McSwiggan

    Our banking risk experts provide insight into events impacting the financial sector in emerging markets in May.

    • Economic forecasts and analysis
    • Economic Data
    • Banking Risk
  20. Vulnerable housing and real estate markets

    27 April 2023 Todd C. Lee Ronel Oberholzer Rajiv Biswas Patrick Newport Diego Iscaro Anja Heimann

    Tightening monetary conditions are driving a softening of house prices, which in some key markets are expected to decline in 2023 and 2024.

    • Housing Markets
    • Economic Risk
    • Consumer Spending
  21. Brazil–China strategic partnership

    06 April 2023 Alejandro DuranCarrete Ailsa Rosales

    Brazil–China trade seminar generates multiple agreements to deepen bilateral business links

    • Economic Risk
    • Country Intelligence
  22. Kenya revives power purchase agreements, aiding foreign investment efforts

    15 March 2023 William Farmer

    Resuming the issuance of PPAs and deprioritizing contract renegotiations aligns with the government’s aim to increase foreign direct investment....

    • Renewables
    • Power Market Investment Strategies
    • Power Market Contracts
    • Electric Power Markets
    • Economic Risk
    • Country risk
  23. Threat to the energy transition from capital costs

    02 February 2023 Rob Marshall

    Our case study underlines the danger that companies may be overstating the business risks associated with renewable energy investments in emerging...

    • Renewables
    • Investment Economics
    • ESG Investing
    • Energy Investment Analysis
    • Energy Capital Investments
    • Carbon & renewable energy
  24. ESG and exclusionary policies affecting Latin America

    14 December 2022 Veronica Retamales Burford Jose Sevilla-Macip Carlos Cardenas Carlos Caicedo Carla Selman Ailsa Rosales

    ESG-related scrutiny will significantly increase for projects in Latin America, especially for ESG-oriented lenders or investors with a focus...

    • ESG Investing
    • Environmental, Social and Governance (ESG)
    • Country risk
  25. Trick-or-treaters will bag less loot as Halloween candy prices eat into sales volumes

    24 October 2022 Akshat Goel

    Parents are expected to spend $3.2 billion on candy this Halloween — a record amount, which works out to about $25 per household.

    • Economic forecasts and analysis
    • Economic Data
    • Consumer Spending
  26. Chile’s constitutional process

    06 September 2022 Carla Selman

    As a result of the Chilean referendum, a new constitutional process is likely to delay the implementation of President Boric’s agenda

    • Political Risk
    • Country risk
  27. Weekly Pricing Pulse: Commodity prices slump once again

    17 November 2021 Michael Dall

    Commodity markets remain rattled, but price correction bodes well for inflation outlook

    • Supply Chain Risk
    • Commodity Price Forecasts
    • Commodities
  28. Employment developments in sub-Saharan Africa during the first-half of 2021

    24 August 2021 Thea Fourie

    Employment recovers in sub-Saharan Africa, but not enough to make a dent in unemployment levels

    • Labor Markets
    • Economic forecasts and analysis
    • Economic Data
  29. Capital Markets Weekly: US corporate bond supply surges after strong employment release

    16 August 2021 Brian Lawson

    Following strong US employment data for July, almost fifty issuers sold debt in just two days

    • Environmental, Social and Governance (ESG)
    • Economic Data
    • Capital markets
  30. Capital Markets Weekly: Germany extends Green Bond curve with record demand

    13 May 2021 Brian Lawson

    Germany’s latest Green bond gained record demand and priced two basis points tighter than its conventional “twin”.

    • Economic Data
    • Capital markets
  31. The geopolitical implications of vaccine rollout programs across Asia-Pacific

    11 March 2021 Sophie Cairns Sacha Baggili Hannah Cotillon Deepa Kumar David Li Bree Neff Asad Ali Anton Alifandi

    China and India will leverage “vaccine diplomacy” as they roll out the Covid-19 vaccine

    • Supply Chain Risk
    • Disease Management & Prevention
    • Country risk
    • Country Intelligence
    • Coronavirus
  32. Weekly Pricing Pulse: Energy prices fire up commodity prices

    20 January 2021 Michael Dall

    Record LNG prices cause frantic trading in energy markets

    • Steel Markets
    • Metal Markets
    • Commodity Price Forecasts
  33. Weekly Pricing Pulse: Materials price inflation ends 2020 on a high note

    30 December 2020 Thomas McCartin

    The pace of price growth does cool slightly but supply disruptions remain

    • Commodity Price Forecasts
  34. China’s bond defaults

    28 December 2020 Yating Xu Lei Yi David Li Angus Lam

    our analysts look at the impact on economy, banking sector, and state enterprises due to China's bond defaults

    • Economic Data
  35. Weekly Pricing Pulse: Commodity prices continue to surge

    24 December 2020 Thomas McCartin

    Supply chain problems support another sizeable weekly gain in many material prices

    • Commodity Price Forecasts
  36. Top ten themes to watch in global banking for 2021

    21 December 2020 Alyssa Grzelak

    As we head into 2021, our banking risk experts explore the biggest trends and challenges the emerging market banking sector will encounter.

    • Economic Risk
    • Economic Data
  37. Brazil’s economy recovers but risks mount

    18 December 2020 Rafael Amiel, Ph.D.

    The withdrawal of fiscal stimulus, high inflation and mounting debt will constrain growth in the first half of 2021; while the availability of...

    • Economic Data
  38. Pandemic premiums: Estimating country risk

    17 December 2020 Chris Suckling, Ph.D. Alexia Ash

    Using our country risk ratings for a more accurate and actionable forecast of future cash flows

    • Investment Economics
    • Economic Risk
  39. Capital Markets Weekly: Late 2020 highlights include successful Ukraine tap and strong equity calendar

    17 December 2020 Brian Lawson

    This week’s market highlights included an upsized tap by Ukraine of its 2033 US dollar issue and Tesla placing USD5 billion of equity at prevailing...

    • Economic Data
  40. Weekly Pricing Pulse: Historic weekly jump in MPI

    15 December 2020 Michael Dall

    Per our MPI data, markets focus on the success of initial COVID-19 vaccine rollouts to send prices soaring

    • Commodity Price Forecasts
  41. Australia China decoupling

    14 December 2020 Rajiv Biswas Rahul Kapoor Hannah Cotillon Bree Neff

    What will decoupling hold for China and Australia? Our research team looks at the trade implications for decoupling around the globe.

    • Economic Data
  42. Africa Conflict Series: Ethiopia

    11 December 2020 Jordan Anderson

    TPLF target government forces with small arms, IED’s and occasional rockets and artillery following withdrawal from Urban centres in Tigray

    • Security Risk
    • Political Risk
  43. Capital Markets Weekly: Emerging market issuance and IPO successes continue

    10 December 2020 Brian Lawson

    New highlights include an impressive tap by the Dominican Republic of its recent 2032 issue and strong responses to the DoorDash and Airbnb IPOs....

    • Economic Data
  44. Ethiopia's growth challenged by a myriad of factors

    10 December 2020 Eva Renon Alisa Strobel

    Ethiopia’s real GDP is anticipated to reach a historic low in 2020 amid increased significant downside risk factors including the armed conflict...

    • Economic Data
  45. Economic recovery in Europe: divergence and double dips

    09 December 2020 Mr. Daniel Kral, M.A.

    European economies’ historic contractions in H1 2020 were followed by large, but partial, rebounds in Q3. A relatively milder contraction is...

    • Economic Data
  46. Weekly Pricing Pulse: A bull market for commodities

    08 December 2020 Michael Dall

    Our MPI shows that markets were boosted by strong mainland Chinese data and supply constraints

    • Commodity Price Forecasts
  47. Mexico’s cargo disruption continues into 2021

    07 December 2020 Johanna Marris

    Cargo disruption from rail blockades is likely to continue in 2021 because of rising job insecurity and ongoing environmental and labor demands....

    • Operational Risk
    • Coronavirus
  48. Capital Markets Weekly: Multiple Emerging Market issuance indicates post-Thanksgiving improvement in risk appetite

    04 December 2020 Brian Lawson

    This week’s calendar continues to indicate improving risk appetite, including five successful emerging market sales on 2 December.

    • Economic Data
  49. Banking risk monthly outlook: December 2020

    03 December 2020 Natasha McSwiggan

    Our banking risk experts provide insight into events impacting the financial sector in emerging markets in December

    • Emerging Markets
    • Economic Risk
    • Economic Data
  50. Weekly Pricing Pulse: Mainland China and vaccine optimism supports risk-on trading

    03 December 2020 Mr. William May

    Chinese manufacturing and vaccine optimism boost commodity prices

    • Commodity Price Forecasts
  51. The new EU-UK trading relationship could deliver more UK economic pain

    02 December 2020 Raj Badiani, BSc Econ MSc Econ

    Any final EU-UK trade arrangement is unlikely to replicate the frictionless trade that that currently exists between the two parties, and it...

    • Economic Data
  52. US Monthly GDP Index for October 2020

    01 December 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    Monthly US GDP Index rose 0.7% in October

    • Economic Data
  53. Holiday shopping outlook is positive despite damper from COVID-19

    30 November 2020 James Bohnaker

    US consumers have found a way to spend money amid the chaos and retail has been a key beneficiary of a widespread shift in spending from services...

    • Economic Data
    • Coronavirus
    • Income Distribution
    • Consumer Spending
  54. Eurozone deflation worries to persist

    24 November 2020 Ken Wattret

    Persistent low inflation and inflation expectations, combined with a severe adverse shock, leave the eurozone comparatively vulnerable to deflation...

    • Economic Data
  55. India and China decoupling

    23 November 2020 Deepa Kumar

    How will China and India realign their external relations in light of a US and China decoupling?

    • Scenario Planning
    • Economic Data
  56. Capital Markets Weekly: Sizeable emerging market deal-flow indicates post US-electoral bond demand recovery

    20 November 2020 Brian Lawson

    This week’s highlights included China issuing 5-year Euro debt at -0.15% and Saudi Aramco selling a heavily-oversubscribed USD8 billion package....

    • Economic Data
  57. Geopolitics in supply chains: The Regional Comprehensive Economic Partnership

    20 November 2020 Hannah Cotillon Deepa Kumar David Li Anton Alifandi

    On 15 November 15 Asian countries signed a trade agreement that will cover 2.2 billion consumers and combined GDP of USD26 trillion – nearly...

    • Government Policy & Regulations
    • Economic Risk
    • Economic Data
  58. COVID-19 and commodity-price fall raise exchange rate risks within CIS

    19 November 2020 Venla Sipilä-Rosen Lilit Gevorgyan, B.A., M.A., M.Sc.

    Our analysts look at what will influence the currencies of the Commonwealth of Independent States (CIS) in the next few months.

    • Economic Data
  59. Scenarios for civil war in Ethiopia’s Tigray region

    19 November 2020 Jordan Anderson Eva Renon

    By January 2021, the TPLF will probably retreat to strongholds in northern Tigray, or, in a less likely scenario, retain control of territory...

    • Terrorism
    • Security Risk
    • Political Risk
  60. Global economic outlook getting worse

    18 November 2020 Sara Johnson Nariman Behravesh, Ph.D.

    The renewed rise in infection rates threatens growth and increases the urgency of additional stimulus

    • Economic Data
  61. Weekly Pricing Pulse Vaccine news offers commodity demand hope

    18 November 2020 Mr. William May

    Markets seize on positive news despite clear declines in vehicle and foot traffic in Europe and the US

    • Commodity Price Forecasts
  62. Angolan consumer demand in decline

    17 November 2020 Alisa Strobel

    Private consumption is expected to decline by 4.3% in 2020 amid significant inflationary pressures and higher unemployment.

    • Income Distribution
    • Consumer Spending
    • Economic Data
  63. Capital Markets Blog: Riskier debt rallies on possible COVID-19 vaccine news: UK plans Green Bond issuance

    12 November 2020

    Equities, emerging market and high-yield debt have rallied sharply, with junk-bond spreads reaching record lows

    • Economic Data
  64. Shifting production from China: The Mexican option

    12 November 2020 Rafael Amiel, Ph.D. Johanna Marris Emily Crowley Alexia Ash

    Is Mexico a viable option as supply chains shift due to a US and Chian decoupling?

    • Commodity Price Forecasts
    • Economic Risk
  65. Weekly Pricing Pulse: Commodities finally yield after weeks of downside pressure

    11 November 2020 Mr. William May

    Rising COVID-19 cases hits commodity prices despite a weaker dollar

    • Commodity Price Forecasts
  66. Eurozone recovery and COVID-19 — heading for a double dip

    09 November 2020 Ken Wattret

    Given the resurgence of COVID-19 and related containment measures, a sizeable GDP contraction is on the cards in Q4 at least.

    • Economic Data
    • Coronavirus
  67. Banking risk monthly outlook: November 2020

    05 November 2020 Natasha McSwiggan

    Our banking risk experts provide insight into events impacting the financial sector in emerging markets in November.

    • Economic Risk
    • Economic Data
  68. Capital Markets Weekly: Planned Australian coal terminal facility IPO to seek AUD1 billion

    05 November 2020 Brian Lawson

    The planned IPO of Australia’s Dalrymple Bay coal terminal facility will seek AUD1 billion+, a major test of demand for coal-related equity.

    • Economic Data
  69. State economies measured by changes in employment and unemployment rates

    04 November 2020 Tom Jackson

    Summary of battleground state employment picture

    • Economic Data
  70. Weekly Pricing Pulse: Tighter lockdowns stoke uncertainty and commodities trend sideways

    03 November 2020 Mr. William May

    Europe re-enters lockdowns prompting questions around materials demand, employment support and the likely cost of another lockdown on effected...

    • Commodity Price Forecasts
  71. US Monthly GDP Index for September

    03 November 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    Monthly GDP Index rose 1.0% in September

    • Economic Data
  72. G20 debt relief initiative

    02 November 2020 Chris Suckling, Ph.D.

    The IMF and finance ministers from the G20 made some ostensibly landmark decisions affecting the ability of developing countries to access financing...

    • Political Risk
    • Economic Risk
  73. Capital Markets Weekly: Ant Group to sell record IPO

    30 October 2020 Brian Lawson

    This week’s highlight is the Ant Group IPO in Shanghai and Hong Kong, priced to raise a record USD34.4 billion.

    • Economic Data
  74. Chile’s new constitution

    29 October 2020 Carla Selman

    A new constitution for Chile is likely to increase the role of the state in the economy, particularly in the provision of basic services.

    • Political Risk
  75. Weekly Pricing Pulse: Commodity prices reflect optimism as US stimulus talks continue

    28 October 2020 Mr. William May

    Commodities gain during a to-and-fro week for US stimulus talks

    • Commodity Price Forecasts
  76. Capital Markets Weekly: Record EU offering to boost ESG sector

    23 October 2020 Brian Lawson

    The EU gained EUR233 billion of demand, growing the stock of Social Bonds by one-third, with its EUR17 billion 10 and 20-year debut SURE deal....

    • Economic Data
  77. Weekly Pricing Pulse: Commodity markets revive after China-led hiatus

    21 October 2020 Michael Dall

    Buyers return after China’s Golden Week holiday

    • Commodity Price Forecasts
  78. Capital Markets Weekly: Italy issues first negative-yield three-year bond

    16 October 2020 Brian Lawson

    Italy achieved negative yield on a three-year Italian debt auction, alongside record lows at other maturities.

    • Economic Data
  79. Weekly Pricing Pulse: A quiet week in commodity markets

    14 October 2020 Mr. William May

    Markets lack direction during China’s Golden Week holiday

    • Commodity Price Forecasts
  80. European tourism will lag recovery of other parts of the economy

    13 October 2020 Andrew Birch

    Several key challenges will ensure that the recovery of the European tourism sector will lag the overall economy.

    • Consumer Spending
    • Income Distribution
    • Economic Data
  81. Capital Markets Weekly: Bahamas testing market appetite while hybrid debt sales indicate continuing risk demand

    08 October 2020 Brian Lawson

    The Bahamas is planning a bond sale despite sharply-rising debt burdens

    • Economic Data
  82. Weekly Pricing Pulse: Creaking commodity prices finally give way

    07 October 2020 Mr. William May

    After two weeks of minor declines, growing downside pressure was released in a broad-based fall

    • Commodity Price Forecasts
  83. US-China decoupling:Thinking about scenarios

    07 October 2020

    What are the possible outcomes from a US-China decoupling? Our team sets forth the possible outcomes and the key questions to ask

    • Scenario Planning
    • Economic Risk
    • Economic Data
  84. Global recession risks

    05 October 2020 Ms. Sara Johnson, CBE

    S&P Global projects that world real GDP will decline by 4.8% in 2020, a far worse outcome than the 1.7% contraction in 2009 at the height of...

    • Economic Data
  85. US Monthly GDP Index for August 2020

    01 October 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    Monthly GDP Index rose 0.6% in August

    • Economic Data
  86. Succession following Emir Sabah al-Ahmad Al Sabah’s death

    01 October 2020 Jack A. Kennedy

    Kuwait succession unlikely to be disputed, with energy and investment policies remaining consistent

    • Political Risk
    • Coronavirus
  87. Weekly Pricing Pulse: More commodities roll over as uncertainty grows

    30 September 2020 Mr. William May

    A second consecutive weekly fall, this week more broad-based, points to more cautious buying as the global economy heads deeper into unchartered...

    • Commodity Price Forecasts
  88. Country Risk Month Ahead: October 2020

    24 September 2020 Chris Suckling, Ph.D.

    Our country risk team provides a snapshot of the events shaping country risk in October.

    • Political Risk
  89. Capital Markets Weekly: Zambia seeking rescheduling: EM supply unaffected given prior warnings

    24 September 2020 Brian Lawson

    Zambia is seeking bondholder consent to miss three interest payments starting this October.

    • Economic Data
  90. Weekly Pricing Pulse: Lumber sees a spectacular fall

    22 September 2020 Mr. William May

    Astronomic lumber prices have corrected 25%, pulling our MPI lower despite broad gains elsewhere

    • Commodity Price Forecasts
  91. Capital Markets Weekly: Multiple ESG debuts well received, flagging clearly positive EGG momentum

    18 September 2020 Brian Lawson

    This week’s highlight was the arrangement of successful debut ESG deals by seven borrowers, alongside further airline-sector debt and equity...

    • Economic Data
  92. Weekly Pricing Pulse: Cracks start to appear, but commodity prices continue rising

    16 September 2020 Mr. William May

    Some indices roll over after strong rallies, perhaps signalling a pause in the commodities rebound

    • Commodity Price Forecasts
  93. Leveraging text as data: Tracking economic recovery from COVID19 in the US

    16 September 2020 Mateusz Mynarski Dr. Marie Lechler

    Our experts utilize novel data collection to track economics recovery (among other things)  via high frequency signals from news articles

    • Economic Data
  94. Geopolitics in a post-pandemic world: A fragmented world

    15 September 2020 Keerti Rajan John Raines, Ph.D. Laurence Allan, Ph.D. Anna Boyd

    What does it mean for geopolitical security when three key global players - the US, China and European Union (EU) - turn inwards to focus on...

    • Scenario Planning
    • Political Risk
    • Economic Risk
  95. Creditor response in sub-Saharan Africa

    11 September 2020 Thea Fourie Chris Suckling, Ph.D.

    While emergency financing from the IMF to cope with the direct and ancillary effects of COVID-19 are agreed to, what about additional supports...

    • Sovereign Risk
    • Government Policy & Regulations
  96. Capital Markets Weekly: Debt and equity issuance remaining strong despite technology-oriented equity market correction

    10 September 2020 Brian Lawson

    Record Asian share sales and multiple bond issuance successes indicate that risk appetite remains strong despite US tech-sector correction.

    • Economic Data
  97. Weekly Pricing Pulse: Sharp sell-off in equities markets not mirrored in commodities

    09 September 2020 Mr. William May

    An overheating equity market corrected sharply last week but all commodities, save oil, were unaffected, marching higher

    • Commodity Price Forecasts
  98. WTO leadership race

    03 September 2020 Chris Suckling, Ph.D.

    The World Trade Organization (WTO) must select a shortlist of candidates to replace Ricardo Azevêdo. Who will be backed and what are their policy...

    • Government Policy & Regulations
    • Economic Risk
  99. Weekly Pricing Pulse: A relaxed inflation target from the Fed gives commodities fresh boost

    02 September 2020 Mr. William May

    Markets focus on the accommodative Fed rather than growing second waves of COVID-19

    • Commodity Price Forecasts
  100. US Monthly GDP Index for July 2020

    01 September 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP rose 1.9% in July.

    • Economic Data
  101. Capital Markets Weekly: Germany’s Green Bond debut imminent, boosting expanding ESG sector

    01 September 2020

    Germany gave more details of its Green Bond debut in September: media reports suggest this will be a 10-year benchmark for up to EUR6 billion....

    • Economic Data
  102. COVID-19 justifies pre-existing banking policies in mainland China and India

    31 August 2020 Angus Lam

    New banking policies at play for both Mainland China and India

    • Economic Data
  103. Analyzing US equity market peaks

    27 August 2020 Brian Lawson

    How have financial markets been affected by the combination of expansionary fiscal policy and quantitative easing and divergent sectoral performance?...

    • Economic Data
  104. Capital Markets Weekly: Oman follows Egypt in accessing loan market while bond sales continue indicating duration appetite

    27 August 2020 Brian Lawson

    Media reports claim Oman raised USD2 billion in one-year bridge financing, while five hybrid deals this week indicated a strong “duration bid”....

    • Economic Data
  105. Weekly Pricing Pulse: Continuing signs of recovery lifts commodities

    26 August 2020 Mr. William May John Mothersole

    Chinese stimulus, a softening US dollar and easing COVID-19 containment measures give buyers the green light to keep going

    • Commodity Price Forecasts
  106. The COVID-19 pandemic will hurt long-term economic growth

    24 August 2020 Nariman Behravesh, Ph.D. Ms. Sara Johnson, CBE

    While it may be a little early to fully quantify the long-term economic impact of the pandemic, S&P Global estimates that by 2030 the level of...

    • Economic Data
  107. Capital Markets Weekly: S+P 500 reaches new record

    21 August 2020 Brian Lawson

    The S+P 500 index reached an all-time high alongside recent IPOs displaying exceptionally strong performance.

    • Purchasing Managers’ Index (PMI)
    • Economic Data
  108. Brexit and the UK economic impact

    21 August 2020 Raj Badiani Laurence Allan, Ph.D.

    new Brexit uncertainties are sounding on the risk radar, namely whether the 11-month transition period is sufficient to deliver an agreement...

    • Economic Data
  109. Country risk month ahead: September 2020

    20 August 2020 Chris Suckling, Ph.D.

    Understand the risks shaping geopolitical stability in September from elections to trade summits and beyond.

    • Security Risk
    • Political Risk
  110. Weekly Pricing Pulse: Momentum carries commodity prices higher, but demand doubts increase

    18 August 2020 Mr. William May

    Bullish Chinese data early in the week was offset by rising COVID-19 restrictions, a breakdown in US stimulus negotiations and disappointing...

    • Commodity Price Forecasts
  111. Capital Markets Weekly: US high-grade issuance establishes new record alongside record-low corporate pricings

    14 August 2020 Brian Lawson

    US investment grade supply during 2020 has reached USD1.336 trillion, beating the prior full-year record in under eight months.

    • Economic Data
  112. Weekly Pricing Pulse: Commodities price gains find a new gear, rising strongly across sectors

    12 August 2020 Mr. William May

    Volatility returns with commodities jumping

    • Commodity Price Forecasts
  113. Capital Markets Weekly: Argentina and Ecuador successfully progressing debt restructuring

    07 August 2020 Brian Lawson

    Ecuador’s bondholders overwhelmingly accepted its debt restructuring proposals while Argentina has agreed a marginally revised deal with key...

    • Economic Data
  114. Weekly Pricing Pulse: Commodities push higher, but with less gusto

    05 August 2020 Mr. William May

    Following a pause in the commodity price rebound last week, the MPI nudged higher, but sluggish demand growth will continue to be a drag

    • Commodity Price Forecasts
  115. US Monthly GDP Index for June 2020

    03 August 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP rose 5.0% in June.

    • Economic Data
  116. Capital Markets Weekly: Issuance quietens reflecting European/US vacation seasons

    30 July 2020 Brian Lawson

    Despite seasonally-quieter conditions, a large Australia syndication and a Hong Kong bank AT1 deal have reconfirmed long-duration demand.

    • Economic Data
  117. Weekly Pricing Pulse: Commodity prices finally pause following multi-month climb

    30 July 2020 Thomas McCartin

    The 11-week stretch of commodity price increases ends amid a diplomatic spat

    • Commodity Price Forecasts
  118. Country risk month ahead: August 2020

    27 July 2020 Chris Suckling, Ph.D.

    Understand the risks shaping geopolitical stability in August from elections to debt restructuring and beyond.

    • Security Risk
    • Political Risk
    • Operational Risk
    • Economic Risk
  119. Country risk scores quarterly: July 2020

    24 July 2020 Justin Valentino Chris Suckling, Ph.D.

    Countries/territories for which our Country Risk scores have been changed significantly over the last quarter.

    • Security Risk
    • Operational Risk
    • Legal Risk
    • Taxation Risk
    • Economic Risk
  120. Capital Markets Weekly: Latin American debt restructurings at risk of stand-off with investors 

    23 July 2020 Brian Lawson

    Both Argentina and Ecuador are facing problems to agree restructurings with their creditors, increasing the risk of “hard defaults”.

    • Economic Data
  121. State-level employment impact of COVID-19

    23 July 2020 Karl Kuykendall

    US Regional Economic Outlook: Northeast to take longest to return to pre-pandemic employment levels, South faces most acute downside risk given...

    • Economic Data
    • Coronavirus
  122. Weekly Pricing Pulse: Commodities rise for eleventh straight week

    22 July 2020 Mr. William May

    Encouraging Chinese data and a softer dollar lifts commodity prices for an 11th consecutive week as policymakers weigh further stimulus

    • Commodity Price Forecasts
  123. What can we learn from the Swedish approach to COVID-19?

    22 July 2020 Mr. Daniel Kral, M.A.

    Sweden has pursued a fundamentally different strategy in responding to the COVID-19 virus compared with other Western European countries. It...

    • Economic Data
    • Coronavirus
  124. Capital Markets Weekly: Emerging market issuers continue pushing debt maturity threshold

    17 July 2020 Brian Lawson

    A fourth emerging market borrower is now seeking hybrid debt, amidst multiple long and ultra-long dated issuance within the asset class.

    • Economic Data
  125. Weekly Pricing Pulse: How far can commodities keep rising?

    15 July 2020 Mr. William May

    A tenth consecutive weekly gain in our Materials Price Index (MPI) leaves the MPI down just 9% in 2020 as capacity closures raise materials price...

    • Commodity Price Forecasts
  126. Rising COVID-19 virus infection rates have increased the risk of a W-shaped economic cycle

    15 July 2020 Nariman Behravesh, Ph.D. Ms. Sara Johnson, CBE

    Our global economics flash for July 2020. While the worst is probably behind us, the global recovery remains weak and subject to further downside...

    • Purchasing Managers’ Index (PMI)
    • Economic Data
  127. Capital Markets Weekly: Successful emerging market bank issuance continues to indicate improving risk climate

    13 July 2020 Brian Lawson

    In recent days, three emerging market banks sold debt, including an AT1 deal for Mexico’s Banorte, while China Bohai Bank raised equity.

    • Economic Data
  128. Capital Markets Weekly: Ecuador and Argentina move closer to debt restructuring deals

    09 July 2020 Brian Lawson

    Ecuador has agreed debt restructuring with around half its bondholders while Argentina has significantly narrowed the gap with its creditors

    • Economic Data
  129. Weekly Pricing Pulse: Commodities V-shaped recovery continues

    08 July 2020 Mr. William May

    A better than expected US jobs report and good June Purchasing Managers data offers cheer but growing COVID-19 case counts in the Americas presents...

    • Commodity Price Forecasts
  130. US Monthly GDP Index for May 2020

    08 July 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP rose 4.1% in May

    • Economic Data
  131. Pakistan government coalition instability

    25 June 2020 Asad Ali

    Government-military relations in Pakistan deteriorate over COVID-19, increasing likelihood of PM being replaced or ruling coalition collapsing...

    • Security Risk
    • Political Risk
    • Coronavirus
  132. Dominican Republic election amid COVID-19 spread

    25 June 2020 Diego Moya-Ocampos, LLB

    Dominican Republic election likely despite COVID-19-virus spread; tourism and transport and energy infrastructure new government key priorities...

    • Security Risk
    • Political Risk
    • Coronavirus
  133. Capital Markets Weekly: Sizeable US equity supply further indicates market consolidation

    25 June 2020 Brian Lawson

    Heavy US equity issuance, including a USD14.8 billion placement by T-Mobile US, took 2020 US share placement volumes to over USD100 billion.

    • Economic Data
  134. Weekly Pricing Pulse: Accelerating case count fails to dent commodities

    24 June 2020 Mr. William May

    COVID-19 cases rose more rapidly in certain areas of the US, India and Brazil last week spooking financial markets, but commodity prices continued...

    • Commodity Price Forecasts
  135. Bank of England’s MPC expands government bond-buying program

    23 June 2020 Raj Badiani, BSc Econ MSc Econ

    We had anticipated that the Bank of England would expand its bond-buying scheme by GBP100 billion (USD124 billion), but it was at the lower end...

    • Purchasing Managers’ Index (PMI)
    • Economic Data
  136. African Development Bank governance reforms

    18 June 2020 Theo Acheampong, PhD

    Investigations into AfDB president’s suspected misconduct indicates growing multilateral and bilateral creditor rivalry, and likely governance...

    • Economic Risk
  137. Capital Markets Weekly: New Zealand syndication highlights debt pressure on stronger borrowers

    18 June 2020 Brian Lawson

    On 15 June, New Zealand syndicated NZD7 billion of 2024 debt, doubling its prior record in April: Belarus and Honduras also successfully sold...

    • Economic Data
  138. EU-UK Brexit Negotiations

    17 June 2020 Raj Badiani, BSc Econ MSc Econ Jan Gerhard

    UK’s plan not to prolong post-Brexit transition makes interim arrangements initially more likely than finalised EU deal

    • Political Risk
  139. Weekly Pricing Pulse: Commodities rise strongly again

    17 June 2020 Mr. William May

    Commodity prices continue to surge on improved manufacturing demand and investor interest

    • Commodity Price Forecasts
  140. Capital Markets Weekly: African supply reopens successfully with sovereign conditions improving

    16 June 2020 Brian Lawson

    During the last week, two borrowers – Africa Finance Corp and Helios Towers – successfully reopened the market for sub-Saharan African debt

    • Economic Data
  141. The deepest global recession in 75 years will also likely be the shortest on record

    16 June 2020 Nariman Behravesh, Ph.D. Ms. Sara Johnson, CBE

    Even with the beginnings of a recovery in place, the carnage from this pandemic and the lockdowns can only be described as horrific.

    • Economic Data
  142. Capital Markets Weekly: Successful sovereign issuance rush further confirms potency of ECB’s PEPP

    12 June 2020 Brian Lawson

    Ten European sovereign issuers successfully sold debt this week after the ECB expanded its PEPP program by EUR600 billion.

    • Economic Data
  143. Weekly Pricing Pulse: Commodity market recovery accelerates

    10 June 2020 Mr. William May

    Commodity prices surged higher on supply side disruptions and optimism over demand

    • Commodity Price Forecasts
  144. Geopolitics in a post-pandemic world – Scenarios for 2025

    09 June 2020 Richard Jackson Nathalie Wlodarczyk, Ph.D. Karim El Assir Chris Suckling, Ph.D.

    Geopolitics in a post-pandemic world – Scenarios for 2025

    • Scenario Planning
    • Coronavirus
  145. Which sectors will be hardest hit by the fall-out from containment measures?

    04 June 2020 Braden Muhl

    Few industries have avoided harm from the impact of COVID-19 and the resulting containment measures. Who is most impacted and who will grow in...

    • Economic Data
    • Coronavirus
  146. Capital Markets Weekly: Hungary and Deutsche Bank debut in Green Bond sector

    04 June 2020 Brian Lawson

    Hungary and Deutsche Bank completed successful Green Bond debuts this week, highlighting the ongoing long-term growth of ESG funding.

    • Economic Data
  147. Weekly Pricing Pulse: Commodities focus on the partial relaxation of COVID-19 restrictions

    03 June 2020 Mr. William May

    Markets breathe a sigh of relief that President Trump's press conference did not contain even harsher actions against China

    • Commodity Price Forecasts
  148. What will the ECB do next?

    01 June 2020 Ken Wattret

    Following April’s additional liquidity provision, June’s policy announcement is likely to center on ramping up net asset purchases via the PEPP....

    • Economic Data
  149. May forecast shows a sea of red states

    01 June 2020 Karl Kuykendall

    Our May US Regional forecast shows that every state will experience significant employment and GDP declines in the near term.

    • Economic Data
  150. US Monthly GDP Index for April 2020

    29 May 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    Monthly GDP Index plunged 11.3% in April

    • Economic Data
  151. Argentina in default

    29 May 2020 Paula Diosquez-Rice Carla Selman Alejandro DuranCarrete

    Argentina failed to make a USD503-million payment of delayed interest on three bonds on the expiry of their grace periods, entering a technical...

    • Operational Risk
    • Economic Risk
  152. Capital Markets Weekly: Corporate and bank issuance well-ahead of 2019

    28 May 2020 Brian Lawson

    European corporate high-grade supply in 2020 is 80% ahead of 2019 levels, while US bank issuance is over 40% higher.

    • Economic Data
  153. Weekly Pricing Pulse: Commodities' rebound continues as eyes turn to China

    27 May 2020 Mr. William May

    Commodity prices record another strong week on prospects for Chinese stimulus and phased re-openings in Europe, Japan and the US

    • Commodity Price Forecasts
  154. Regional manufacturing indexes begin long road back in May

    26 May 2020 Tom Jackson

    Regional surveys of manufacturing activity showed signs of improvement in May after crashing to historic lows in April.

    • Economic Data
    • Coronavirus
  155. Capital Markets Weekly: Three emerging market defaults likely without triggering wider flight from asset class

    22 May 2020 Brian Lawson

    Argentina faces technical default on 22 May, Province of Buenos Aires triggered this on 14 May, and Digicel is also facing a Moody’s default...

    • Economic Data
  156. Weekly Pricing Pulse: The rebound begins to look more convincing

    20 May 2020 Mr. William May

    Economies reopening and supply-side issues drive another strong gain in commodities

    • Commodity Price Forecasts
  157. Measuring country risk from the bottom up results in opportunities

    19 May 2020 Alexia Ash

    A “bottom-up” approach is less volatile and more nuanced than a markets-led approach and results in the potential for investment opportunities...

    • Political Risk
    • Operational Risk
    • Coronavirus
  158. Global recovery to take years

    18 May 2020 Nariman Behravesh, Ph.D. Ms. Sara Johnson, CBE

    Recovery in global economic output to pre-pandemic levels will take two to three years

    • Purchasing Managers’ Index (PMI)
    • Economic Data
  159. Weekly Pricing Pulse: Oil helps drive commodity prices higher

    14 May 2020 Mr. William May

    OPEC+ supply cuts and weaker US output lifts crude prices and the broader commodity complex

    • Commodity Price Forecasts
  160. Capital Markets Weekly: Grenada tests scope for low-income debt relief while Bahrain extends sovereign risk threshold

    14 May 2020 Brian Lawson

    Grenada became the first IDA country to seek an agreed debt moratorium on its private-sector debt – but then met slated payments to avoid default...

    • Economic Data
  161. Global construction spending is expected to decline substantially in 2020

    11 May 2020 Jeannine Cataldi

    Construction in Americas, Middle East and Africa regions have been the hardest hit by issues related to the COVID-19 virus pandemic.

    • Economic Data
    • Capital Construction Costs
  162. Capital Markets Weekly: Continued Latin American supply and perpetual AT1 sales further confirm healthy risk-appetite

    08 May 2020 Brian Lawson

    Alongside bond supply from Bahrain, Chile and a syndicated 15-year deal from Germany, this week has seen the completion of two perpetual capital...

    • Economic Data
  163. Nearly 2 million Canadian jobs vanished in April because of COVID-19

    08 May 2020 Arlene Kish, M.A.

    Canada's job market was devastated once again with a 1,993,800 nosedive in net employment, which was weaker than our expectations.

    • Economic Data
    • Coronavirus
  164. Capital Markets Weekly: Equity supply increases including important test of appetite for Chinese risk

    08 May 2020 Brian Lawson

    Primary equity activity has expanded including sizeable deals for Southwest Airlines, Reliance Industries and a substantial Chinese IPO.

    • Economic Data
  165. Latin America mining industry is expected to be the most heavily impacted industrial sector due to country risk after COVID-19

    08 May 2020 Alexia Ash

    Mining in Brazil, Chile, Mexico, Peru likely to face acute challenges in the wake of COVID-19

    • Operational Risk
    • Coronavirus
  166. Weekly Pricing Pulse: Geopolitics re-enters the picture

    06 May 2020 Mr. William May

    Crude oil rises sharply, but markets are becoming nervous about a resumption in the US-China trade war

    • Commodity Price Forecasts
  167. Lebanese bank losses to reach 200% of GDP

    06 May 2020 Gabrielle Ventura

    The Lebanese government’s financial sector restructuring plan includes banking sector losses of at least 200% of forecast 2019 nominal GDP

    • Economic Risk
    • Economic Data
  168. Malay Peninsula piracy

    05 May 2020 Columb Strack Anton Alifandi

    Growing piracy off Malay Peninsula likely to be exacerbated by economic effect of COVID-19-virus crisis

    • Security Risk
    • Coronavirus
  169. Capital Markets Weekly: National Australia Bank sets precedent for wider bank equity-raising

    01 May 2020 Brian Lawson

    NAB has arranged an AUD3 billion underwritten share placement to offset COVID-19 impacts, setting a sector precedent for capital raising

    • Economic Data
  170. US Monthly GDP Index for March 2020

    28 April 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP fell 5.1% in March 2020.

    • Economic Data
  171. Capital Markets Weekly: Italy and Spain set new demand records within sharply-growing sovereign issuance

    24 April 2020 Brian Lawson

    Italy gained record demand of over EUR110 billion for a EUR16 billion syndicated package, and Spain EUR97 billion for EUR15 billion of 10-year...

    • Economic Data
  172. Weekly Pricing Pulse: Commodities mirror equities with back to back weekly gains

    23 April 2020 Mr. William May

    Optimism remains in markets despite extensions to lockdowns

    • Coronavirus
    • Commodity Price Forecasts
  173. Regional manufacturing indexes plumb new depths in April

    20 April 2020 Tom Jackson

    Regional surveys of manufacturing activity established new series lows in April, obliterating the previous lows set in 2009.

    • Economic Data
  174. Managing global supply chain risk in uncertain times

    17 April 2020 Kristyna Alexova Aleksandra Maguire

    Findings from our EPIC report help supply chain professionals drive more informed decisions about how to best operate in unprecedented times

    • Operational Risk
    • Economic Data
  175. After the worst recession since the 1930s, what path will the recovery take?

    16 April 2020 Nariman Behravesh, Ph.D. Ms. Sara Johnson, CBE

    What does recovery look like? Our economists provide their outlook

    • Economic Data
  176. Impact of COVID-19 on protest and riot risks

    16 April 2020 James Petretta

    Analysis on the impact of COVID-19 on protest and riot risks globally

    • Terrorism
    • Security Risk
    • Coronavirus
  177. Capital Markets Weekly: Underpinned by central bank quantitative easing, bond markets indicate recovering risk appetite

    16 April 2020 Brian Lawson

    Latin American, Asian and junk-bond supply this week indicates improved bond market risk appetite, despite worsening debt sustainability

    • Economic Data
  178. Weekly Pricing Pulse: Are we seeing a bottom

    15 April 2020 Mr. William May

    Volatility falls and prices rise as markets begin to calm

    • Coronavirus
    • Commodity Price Forecasts
  179. Vulnerability to Covid-19 may be highest in countries not yet affected by outbreak

    09 April 2020 Dr. Marie Lechler

    Our COVID–19 Country Vulnerability Index ranks countries’ capacity to deal with new outbreaks as well as those expected in the coming weeks and...

    • Economic Data
    • Coronavirus
  180. COVID-19 raises risks to global financial stability

    08 April 2020 Alyssa Grzelak

    In total, across S&P Global’s 52 rated banking sectors, the outlook on our rating is Negative for 41 economies, an increase of 32 since the beginning...

    • Financial Risk Analytics
    • Economic Risk
    • Economic Data
    • Coronavirus
  181. Central America recession risk

    08 April 2020 Dr. Kari Pries, Ph.D. Cristina Arbelaez

    Severe US recession to curtail remittances to Central American countries, worsening external balances and domestic recession risks

    • Economic Risk
  182. Weekly Pricing Pulse: Equities pause, but the commodity sell-off gathers pace

    08 April 2020 William May

    Commodities plunged further, faster in another broad-based move lower

    • Commodity Price Forecasts
  183. Country Risk Month Ahead: April 2020

    06 April 2020 Chris Suckling, Ph.D.

    S&P Global looks ahead to the events shaping country risk in April 2020.

    • Political Risk
    • Operational Risk
    • Economic Risk
    • Coronavirus
  184. Ethiopia highlights challenges for African countries in coping with COVID-19

    01 April 2020 Alisa Strobel

    Ethiopia’s Prime Minster calls for emergency budgetary support and debt relief for African countries for which COVID-19 will pose a significant...

    • Economic Data
    • Coronavirus
  185. Weekly Pricing Pulse: Another week of broad-based declines in commodities prices

    01 April 2020 Thomas McCartin

    Collapsing demand continues to push commodity prices lower.

    • Coronavirus
    • Commodity Price Forecasts
  186. US states to endure the deepest COVID-19 related near-term declines

    01 April 2020 Karl Kuykendall

    No state will be immune from employment and GDP declines this year given the sudden and deep economic shocks associated with the necessary containment...

    • Economic Data
    • Coronavirus
  187. Capital Markets Weekly: Emerging markets increasingly rely on official lenders

    30 March 2020 Brian Lawson

    While investment grade borrowers are rushing in record volume to capture liquidity, emerging market borrowers rely ever more on IMF support

    • Economic Data
  188. COVID-19 recession to be deeper than that of 2008-2009

    30 March 2020 Nariman Behravesh, Ph.D. Elisabeth Waelbroeck-Rocha, Ph.D.

    Most economies won’t return to pre-pandemic levels of output for 2-3 years

    • Economic Data
    • Coronavirus
  189. Capital Markets Weekly: Risk of multiple emerging-market defaults increasing

    26 March 2020 Brian Lawson

    Despite IMF/IBRD moves to ease official debt burdens, Ecuador has moved towards debt default:  Argentina and African states also seeking relief...

    • Economic Data
  190. Weekly Pricing Pulse: Commodities sell off as the shut-downs continue

    25 March 2020 William May

    Manufacturing shuts down in Europe and the US as COVID-19 takes a hold

    • Coronavirus
    • Commodity Price Forecasts
  191. Capital Markets Weekly: Market volatility to remain severe amidst flight to cash

    20 March 2020 Brian Lawson

    Despite large-scale fiscal and monetary intervention including major QE programs, investors are continuing the flight to cash.

    • Economic Data
  192. Weekly Pricing Pulse: Commodities drop sharply as the global economy shuts down

    19 March 2020 William May

    Energy prices tank as Western Europe begins social isolation in earnest

    • Coronavirus
    • Commodity Price Forecasts
  193. The global economy: Headed for recession

    18 March 2020 Sara L. Johnson, CBE Nariman Behravesh, Ph.D.

    Disruptions to supply chains, demand, international trade flows, and travel, along with lockdowns and collapsing stock prices, resulting from...

    • Economic Data
    • Coronavirus
  194. Fed does not dither: Aggressive monetary policy response to COVID19

    16 March 2020 Ken Matheny, Ph.D.

    Sunday’s aggressive rate cut could be the “final” adjustment to the federal funds rate, as there is little appetite now within the Federal Reserve...

    • Government Policy & Regulations
    • Economic Data
    • Coronavirus
  195. COVID-19: Sub-saharan Africa impact channel

    16 March 2020 Thea Fourie Chris Suckling, Ph.D.

    Saharan Africa (SSA) region is highly susceptible to ancillary effects from the COVID-19 virus outbreak

    • Coronavirus
  196. Capital Markets Weekly: COVID-19 and energy market stand-off generating acute uncertainty

    13 March 2020 Brian Lawson

    This week’s market developments are dominated by the breakdown of OPEC production discipline and the global expansion of COVID-19.

    • Economic Data
    • Coronavirus
  197. US Off Highway Equipment Impact Study

    13 March 2020 Shane Norton Scott Hazelton

    S&P Global study shows US off highway equipment industry directly supports 480,000 jobs and 2.8 million total jobs, with 35 states at more than...

    • Economic Data
  198. Weekly Pricing Pulse: Commodity prices eke out a slight gain as central banks provide support

    11 March 2020 William May

    Commodities rose slightly last week as the US Federal Reserve cut rates to offset the effects of the spreading COVID-19 outbreak

    • Coronavirus
    • Commodity Price Forecasts
  199. COVID-19 Update: Few, if any, countries or industries will be immune to economic impact

    11 March 2020 Nariman Behravesh, Ph.D. Ken Wattret Elisabeth Waelbroeck-Rocha, Ph.D. Chris Williamson

    Expect a sharp reduction in near-term growth, followed by a slow recovery

    • Economic Risk
    • Economic Data
    • Coronavirus
  200. Capital Markets Weekly: Debt Markets reopen with heavy supply but COVID-19 poses lasting market risks

    06 March 2020 Brian Lawson

    Despite a mid-week rush of corporate bond supply, S&P Global views COVID-19 to have lasting and sizeable adverse potential market impacts

    • Economic Data
    • Coronavirus
  201. Weekly Pricing Pulse: Commodity prices tumble again as markets undergo worst week since 2008

    04 March 2020 William May

    Intensifying fears of the global impact of COVID-19 sparked a major sell-off in markets, which hit commodity prices once again last week

    • Commodity Price Forecasts
  202. Federal Reserve Rx: 50 basis points of rate cuts now, more possible later

    03 March 2020 Ken Matheny, Ph.D.

    Analysis from our Senior Economist Ken Matheny on today’s Federal Reserve rate cut

    • Economic Data
    • Coronavirus
  203. Public Mass-shooting Risk

    03 March 2020

    We recorded 78% more public mass shootings in 2019 than the preceding five-year average.

    • Security Risk
    • Operational Risk
  204. Lebanon banking crisis

    27 February 2020 Gabrielle Ventura

    On the precipice of crisis: What’s next for the Lebanese banking sector?

    • Economic Risk
    • Economic Data
  205. Capital Markets Weekly: Investor yield hunger underpins record Italian syndication

    14 February 2020 Brian Lawson

    Record Italy syndication and multiple hybrid deals highlight “risk-on” investor appetite.

    • Economic Data
  206. Malaysian economic growth moderates in Q4 2019

    13 February 2020 Rajiv Biswas

    2020 economic outlook for Malaysia clouded by coronavirus economic impact

    • Market Analysis & Forecasts
    • Economic Data
    • Coronavirus
  207. Houthis selecting more UAVs over ballistic missiles in Arabian Peninsula attacks

    13 February 2020 Ludovico Carlino Firas Modad

    Yemen-based Houthi movement has mounted 462 attacks against targets inside Saudi territory since 2015

    • Terrorism
  208. Coronavirus economic shockwave hits the APAC aviation industry

    12 February 2020 Rajiv Biswas

    The Asia-Pacific commercial aviation industry is being hit by a massive economic shockwave from the escalating novel coronavirus crisis sweeping...

    • Economic Data
    • Coronavirus
  209. Weekly Pricing Pulse: The coronavirus hammers commodities

    12 February 2020 William May

    Chinese travel restrictions are disrupting manufacturing, driving expectations of a demand shock

    • Commodity Price Forecasts
  210. Djibouti contract and tax risks

    12 February 2020

    Djibouti's weakening fiscal position indicates tax demands targeting logistics and telecoms, cancellation of European renewable energy contracts...

    • Political Risk
    • Government Policy & Regulations
  211. Capital Markets Weekly: India sets ambitious privatization program including LIC IPO 

    07 February 2020 Brian Lawson

    An active European block-deal calendar and India’s privatization program for 2020/21

    • Economic Data
  212. Capital Markets Weekly: Poland becomes first emerging market issuer of negative-yielding term debt

    07 February 2020 Brian Lawson

    This week’s debt highlights were Poland capturing five-year funding at negative yields and Ghana raising 40-year bonds

    • Economic Data
  213. Weekly Pricing Pulse: Commodities sustain further loses on heavy selling

    05 February 2020 William May

    The disruptive effects of the spreading coronavirus on the Chinese economy sends commodity prices down hard

    • Commodity Price Forecasts
  214. Islamic State activity after Baghdadi

    03 February 2020 Columb Strack

    Islamic State activity in Iraq and Syria unaffected by Baghdadi's death, Turkish incursion, or US partial-withdrawal

    • Terrorism
    • Political Risk
  215. China’s stock markets slump on coronavirus black swan economic impact

    03 February 2020 Rajiv Biswas

    Worries about the spread of Coronavirus leads to Shanghai Stock Exchange Index falling 8.2% by mid-morning on 3 February, with the Shenzhen Composite...

    • Economic Data
  216. Capital Markets Weekly: France and Greece continue long-dated issuance within rallying bond markets

    30 January 2020 Brian Lawson

    Within improving bond markets, this week’s market highlight was Greece’s 15-year syndicated sale

    • Economic Data
  217. Coronavirus impact

    30 January 2020

    Concerns around the coronavirus are spreading. Our experts look at the economic and security impacts

    • Economic Data
  218. Egypt's anniversary protests

    30 January 2020 Jack A. Kennedy

    Despite government critic's protest call for anniversary of 2011 revolution, significant mobilisation in Egyptian cities unlikely

    • Security Risk
    • Political Risk
    • Economic Risk
  219. Weekly Pricing Pulse: Coronavirus fears shake commodities

    30 January 2020 William May

    Commodity markets, already slow over Lunar New Year, are being hit by worry over the impact of the coronavirus on Chinese demand

    • Commodity Price Forecasts
  220. US Monthly GDP Index for December 2019

    29 January 2020 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP rose 0.1% in December 2019.

    • Economic Data
  221. Czechia's Chinese investment relations

    28 January 2020 Blanka Kolenikova

    Czech president’s decision not to attend summit in China unlikely to alter foreign relations or affect investments

    • Economic Risk
  222. Tunisia early election risk

    24 January 2020 Ludovico Carlino

    Failure by Prime Minister-designate to win confidence vote increases likelihood of new elections in Tunisia

    • Political Risk
  223. Capital Markets Weekly: Emerging market sovereigns enjoy deal rush

    24 January 2020 Brian Lawson

    Five sizeable emerging markets deals were sold successfully on 21 January, with Pemex particularly-successful.

    • Economic Data
  224. Zimbabwe's currency swap deal

    23 January 2020 Alisa Strobel

    Zimbabwe has entered into a currency swap deal with China, however, the deal is unlikely to solve Zimbabwe's foreign-exchange crisis and suggests...

    • Economic Data
  225. Coronavirus: Economic risks to the Asia-Pacific region

    23 January 2020 Rajiv Biswas

    The economic consequences of the coronavirus could be extremely concerning for the Asia-Pacific region

    • Income Distribution
    • Consumer Spending
    • Economic Data
  226. India policy disputes

    22 January 2020 Deepa Kumar

    Disputes between India's central and state governments probably to increase given disagreement over citizenship law, taxation

    • Political Risk
    • Government Policy & Regulations
  227. GDP effect of a longer pause in 737 MAX production

    22 January 2020 Ken Matheny, Ph.D. Ben Herzon, Ph.D.

    Our examines the impact of a longer than expected pause in the production of Boeing’s 737 MAX

    • Economic Data
  228. Indonesia industrial disruption

    22 January 2020

    Parliamentary debates over labour liberalisation bill likely to fuel periodic, large-scale protests in Indonesia’s major industrial cities

    • Operational Risk
  229. Weekly Pricing Pulse: Commodities move higher on restocking and trade-deal momentum

    22 January 2020 William May

    Commodities powered higher last week on Asian restocking demand and a clearer trade outlook

    • Commodity Price Forecasts
  230. Latin America and the Iran-US conflict

    17 January 2020 Diego Moya-Ocampos, LLB Carlos Cardenas Carlos Caicedo Carla Selman

    Iran-US conflict to disrupt Brazil-Iran trade, increase Venezuela sanctions risks, and potentially undermine Argentina’s relationship with IMF...

    • Terrorism
    • Security Risk
    • Operational Risk
  231. Al-Shabaab attacks Kenya

    16 January 2020 William Farmer

    Al-Shabaab assault on airfield indicates broadening of target set to include military installations in Kenya and Somalia

    • Terrorism
    • Political Risk
  232. Capital Markets Weekly: Highly-active primary markets continue, reflecting seasonal factors

    16 January 2020 Brian Lawson

    After record Euro-issuance last week, markets remain highly-active with six sovereign syndicated bond deals: Saudi Aramco grew its IPO 15%

    • Economic Data
  233. Brazil's fiscal reforms

    15 January 2020 Carlos Caicedo

    Brazil’s fiscal reform likely to lose momentum in 2020 given president’s lack of engagement with Congress

    • Operational Risk
    • Economic Risk
  234. Metals price outlook 2020

    14 January 2020 John Mothersole John Anton

    What will the market look like in 2020 for metals?

    • Commodity Price Forecasts
  235. Twenty-six states will raise their minimum wage in 2020

    13 January 2020 Steven Frable

    Economic studies ascribe a range of effects (positive and negative) to higher minimum wages. We take a close look as 26 states make adjustments....

    • Economic Data
  236. Swedish Riksbank defies global monetary policy loosening

    10 January 2020 Daniel Kral

    The timing and nature of the decision are highly unusual, while the reasoning is not entirely clear.

    • Economic Data
  237. Capital Markets Weekly: Markets shrug off Iranian risks

    09 January 2020 Brian Lawson

    A record USD3 billion sale by Israel along with successful sovereign debt sales by Slovenia, Ireland and Portugal.

    • Economic Data
  238. Weekly Pricing Pulse: Commodities dip slightly on gas price volatility

    08 January 2020 William May

    European gas prices plummet on pipeline deal, before US-Iran tensions boil over at the week's end

    • Commodity Price Forecasts
  239. Ten states lost population in 2019

    08 January 2020 Tom Jackson

    A trend of weaker population growth overall and a decline in natural population increase has negative implications for economic growth at both...

    • Consumer Spending
    • Income Distribution
    • Economic Data
  240. Singapore election outlook

    07 January 2020 Asad Ali

    Singapore's election likely in March 2020, followed by ruling party leadership transition, but policy continuity almost certain

    • Political Risk
  241. Japan's stimulus package

    06 January 2020 Harumi Taguchi, M.A.

    Stimulus package including supplemental budget likely to mitigate downside risks, boost support for Abe administration in Japan

    • Political Risk
    • Operational Risk
  242. Capital Markets Weekly: Year-end data flags strong Euro-denominated issuance and selective IPO markets during 2019

    02 January 2020 Brian Lawson

    Recent data shows Euro-denominated debt issuance at near-record levels, but IPO deal numbers fell roughly one-fifth in 2019.

    • Economic Data
  243. Political risks and capital flows in 2020

    02 January 2020 Langelihle Malimela Ege Seckin Deepa Kumar Chris Suckling, Ph.D.

    How will several political developments in selected emerging markets impact on capital flows such as private investment, bank lending, and trade....

    • Financial Risk Analytics
    • Economic Risk
  244. Weekly Pricing Pulse: Holiday lull slows end of year commodity rally

    02 January 2020 William May

    The six-week rally slowed last week as markets wait for direction in 2020

    • Commodity Price Forecasts
  245. Monthly GDP Index from Macroeconomic Advisers by IHS Markit for November

    31 December 2019 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP rose 0.1% in November

    • Economic Data
  246. Weekly Pricing Pulse: Commodities continue rising as headwinds clear

    24 December 2019 William May

    Less uncertainty on trade supports rebounding commodity prices

    • Commodity Price Forecasts
  247. Kenyan SME prospects

    24 December 2019 Chris Suckling, Ph.D.

    Kenyan MSMEs to benefit from reduced taxation in 2020 but capital constraints to limit private-sector performance

    • Political Risk
    • Legal Risk
    • Taxation Risk
  248. Ethiopia's privatization drive

    23 December 2019 Chris Suckling, Ph.D.

    Ethiopia to finalize foreign investment framework for aviation, energy, and telecommunications, but banking excluded

    • Political Risk
    • Operational Risk
  249. Thailand 2020 outlook

    20 December 2019 David Li

    Large-scale but peaceful protests likely in 2020 across Thailand because of opposition-candidate disqualification and economic slowdown

    • Security Risk
    • Political Risk
  250. WTO dysfunction

    19 December 2019 Petya Barzilska John Raines, Ph.D. David Li Chris Suckling, Ph.D.

    As the World Trade Organization’s (WTO) Appellate Body (AB) ceases to function, around 88 trade disputes are very likely to remain unresolved....

    • Political Risk
    • Operational Risk
  251. Weekly Pricing Pulse: Commodity prices welcome a trade war de-escalation

    18 December 2019 William May

    The US-China 'phase one’ trade deal' reduces tensions and improves the mood in markets

    • Commodity Price Forecasts
  252. Top 10 economic predictions for 2020

    17 December 2019 Nariman Behravesh, Ph.D.

    What's coming in 2020? Global growth will expand at a rate of 2.5 percent in 2020 before edging up to 2.7% in 2021 and 2022.

    • Economic Data
  253. Weekly Pricing Pulse: The case builds for higher commodity prices

    11 December 2019 William May

    More positive data points help to propel prices to a third week of gains

    • Commodity Price Forecasts
  254. Capital Markets Weekly: Liability extension and search for yield continue post-Thanksgiving

    05 December 2019 Brian Lawson

    In the first week after Thanksgiving, two borrowers raised perpetual debt and several others obtained longer-dated liabilities.

    • Economic Data
  255. Weekly Pricing Pulse: Commodity prices rise for a second week

    04 December 2019 William May

    Better news on manufacturing is providing some support for commodities.

    • Commodity Price Forecasts
  256. Capital Markets weekly: ICMA conference highlights complexity of ESG fund-labelling initiative

    03 December 2019 Brian Lawson

    ICMA’s AMIC conference on 27 November considered the EU’s efforts to establish an “Ecolabel” for environmentally-friendly investment vehicles. ...

    • Economic Data
  257. Weekly Pricing Pulse: Commodities rise but without conviction

    27 November 2019 William May

    Commodity prices finally join other asset classes in increasing

    • Commodity Price Forecasts
  258. Capital Markets Weekly: China successfully returns to dollar market in Thanksgiving-affected week

    27 November 2019 Brian Lawson

    This week’s clear highlight is China’s return to the dollar bond market with a substantially-oversubscribed four-tranche issue.

    • Economic Data
  259. Monthly GDP Index from Macroeconomic Advisers by IHS Markit for October

    27 November 2019 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP rose 0.2% in October

    • Economic Data
  260. Kenya data regulations

    21 November 2019 William Farmer

    New data protection law increases regulatory burden in Kenya's mobile money lending sector; more regulation likely

    • Security Risk
  261. Thanksgiving turkey price forecast

    21 November 2019 David Deull

    After drying out in 2018, turkey prices are set to soak up a little more gravy this Thanksgiving

    • Consumer Spending
    • Income Distribution
    • Economic Data
  262. Western Balkan's mini-Schengen

    20 November 2019 Petya Barzilska Dijedon Imeri

    Western Balkan "mini-Schengen" initiative has potential to boost trade, but will be limited to agriculture and tourism

    • Operational Risk
  263. Weekly Pricing Pulse: Commodities fail to look on the bright-side

    20 November 2019 William May

    Despite positive wording coming from US-China trade talks commodity prices fell again last week

    • Commodity Price Forecasts
  264. Colombia policy opposition

    19 November 2019 Arthur Dhont

    Colombian government likely to struggle to implement economic policies in 2020 because of social and legislative opposition

    • Political Risk
  265. Capital Markets Weekly: Sweden selling assets on environmental grounds following sizable Norwegian divestitures

    19 November 2019 Brian Lawson

    Sweden’s central bank has followed the recent example set by Norway’s state pension fund in divesting assets deemed to have a high carbon footprint...

    • Economic Data
  266. Capital controls in sub-Saharan Africa

    19 November 2019 Thea Fourie Chris Suckling, Ph.D.

    Over the past decade strong economic growth in sub-Saharan Africa was accompanied by resurgent commodity prices and growing demands for infrastructure...

    • Economic Data
  267. Italy steelworks nationalization

    15 November 2019 Dijedon Imeri

    Dispute over Taranto steelworks increases likelihood of nationalization but does not represent shift in Italy's industrial policy

    • Operational Risk
  268. Capital Markets Weekly: Emerging Market issuers active despite recent bond-market yield reversal

    15 November 2019 Brian Lawson

    Since late August, the negative-yielding debt stock fell USD5 trillion to USD12 trillion with France’s 10 year OAT now giving a positive yield...

    • Economic Data
  269. Holiday retail sales outlook 2019

    13 November 2019 James Bohnaker

    Retailers have good reason to be optimistic about the upcoming holiday shopping season, but not without a hint of caution

    • Consumer Spending
    • Automotive Retail Trends/Transformation
    • Income Distribution
    • Economic Data
  270. Weekly Pricing Pulse: Trade deal hopes unfulfilled

    13 November 2019 William May

    Optimism that tariffs might be selectively reduced lifted commodity prices mid-week before falling flat

    • Commodity Price Forecasts
  271. Djibouti opposition protests

    13 November 2019

    Opposition protests to escalate before Djibouti’s 2020-21 elections, with presidential succession and boundary disputes being notable triggers...

    • Security Risk
    • Political Risk
  272. Hercules plan will help Greek banks to reduce their high NPL exposures

    13 November 2019 Diego Iscaro

    Greece has unveiled an asset protection scheme aimed at helping banks to lower their non-performing loan (NPL) ratio, which is the highest in...

    • Economic Data
  273. Capital Markets Weekly: China and Brazil achieve long-dated debt successes

    08 November 2019 Brian Lawson

    China raised 12- and 20-year funding in its first Euro-deal since 2004. Brazil sold 10-and 31-year dollar debt at its second-lowest cost to date....

    • Economic Data
  274. RCEP deal creates giant new FTA in Asia Pacific as India stands aside

    06 November 2019 Rajiv Biswas

    Rajiv Biswas, our Asia Pacific Chief Economist, provides his comments on the Regional Comprehensive Economic Partnership deal which will create...

    • Government Policy & Regulations
    • Economic Data
  275. Weekly Pricing Pulse: Commodities resist positive events and press lower

    06 November 2019 William May

    A PMI surprise, a Fed rate cut, and trade optimism failed to buoy commodity markets

    • Commodity Price Forecasts
  276. Death of Baghdadi

    05 November 2019 Ludovico Carlino Ege Seckin Columb Strack

    Baghdadi's death unlikely to significantly reduce capabilities of Islamic State-aligned localized jihadist factions in Syria and Iraq

    • Terrorism
    • Security Risk
  277. Nile dam dispute

    04 November 2019 Jordan Anderson Jihane Boudiaf Jack A. Kennedy

    Ethiopia, Egypt, Sudan likely to resume talks over Nile dam dispute; escalation to military action highly unlikely

    • Security Risk
    • Operational Risk
  278. Capital Markets Weekly: Lebanon and Argentina under bond-market scrutiny

    01 November 2019 Brian Lawson

    Debt markets eased only modestly after the first-round Peronist victory in Argentina’s elections but Lebanon is attracting growing adverse focus....

    • Economic Data
  279. Italy's regional elections

    01 November 2019 Dijedon Imeri

    Umbria regional elections to bolster Italy’s Lega-led opposition and undermine cohesion of national government

    • Political Risk
    • Government Policy & Regulations
  280. Weekly Pricing Pulse: Commodity price basket reaches lowest level of 2019

    30 October 2019 Thomas McCartin

    Markets have taken on a bearish view of the near future due to trade policy uncertainty.

    • Commodity Price Forecasts
  281. Halloween candy spending to shamble on as prices jolt to life

    28 October 2019 David Deull

    We are forecasting Americans to spend a total of $2.7 billion on Halloween candy in 2019, the most yet

    • Income Distribution
    • Consumer Spending
    • Purchasing Managers’ Index (PMI)
    • Economic Data
  282. Monthly GDP Index from Macroeconomic Advisers by IHS Markit for September

    28 October 2019 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP rose 0.3% in September

    • Purchasing Managers’ Index (PMI)
    • Economic Data
  283. Hungarian municipal elections

    28 October 2019 Blanka Kolenikova

    Hungarian opposition's municipal election gains bolster hopes for 2022 general poll, but Fidesz government remains stable

    • Political Risk
    • Operational Risk
  284. Capital Markets Weekly: Barbados completes debt restructuring and Lebanon facing growing risks

    25 October 2019 Brian Lawson

    While Barbados appears to have reached agreement with international creditors, Lebanese yields indicate increasing growing debt-sustainability...

    • Economic Data
  285. The global economy: Rising trade policy uncertainty is weighing heavily on capital spending

    25 October 2019 Sara L. Johnson, CBE Nariman Behravesh, Ph.D.

    The October Global Economic Forecast Flash from Chief Economist Nariman Behravesh and Sara Johnson, Executive Director, Global Economics

    • Economic Data
  286. European development financing

    24 October 2019 Chris Suckling, Ph.D.

    EU proposals to establish development bank targeting sub-Saharan Africa likely to advance slowly given significant disagreements

    • Operational Risk
    • Economic Risk
  287. Weekly Pricing Pulse: Soft Chinese data weighs on commodities

    23 October 2019 William May

    The on-going slow-down in Chinese industrial activity continues to check raw material prices

    • Economic Data
    • Commodity Price Forecasts
  288. Demographics in Europe: Which countries are poised to succeed

    23 October 2019 Sharon Fisher

    While demographic challenges are daunting, some countries are better positioned than others to live with shrinking populations.

    • Consumer Spending
    • Income Distribution
    • Economic Data
  289. Bank of Korea’s policy rate cut reflects growing concerns about slower global economic growth

    21 October 2019 Rajiv Biswas

    Rajiv Biswas, Asia Pacific Chief Economist at S&P Global, provides his comments on BOK’s decision to cut the policy rate

    • Purchasing Managers’ Index (PMI)
    • Economic Data
  290. Capital Markets Weekly: CMBS record sale and sub-1percent corporate perpetual issue highlight yield appetite

    21 October 2019 Brian Lawson

    A post-crisis record CMBS sale, the first sub-1% corporate perpetual, and a large Italian project bond all indicate healthy risk appetite

    • Economic Data
  291. Capital Markets Weekly: Enel highlights divergent approaches to issue environmentally-friendly debt

    11 October 2019 Brian Lawson

    Italian power firm Enel will stop issuing Green Bonds, in favor of sustainable debt, while Sweden and Italy are preparing Green Bond debuts.

    • Purchasing Managers’ Index (PMI)
    • Economic Data
    • Economics
  292. Peru shuts down Congress

    11 October 2019 Diego Moya-Ocampos, LLB

    Peruvian president's move to constitutionally shut down Congress likely to trigger political standoff, delaying investments and projects

    • Political Risk
    • Operational Risk
    • Economics
  293. Chile's mining review

    10 October 2019 Carla Selman

    Chilean Supreme Court order to re-assess mining project signals legal uncertainties and likely delays for large-scale developments

    • Political Risk
    • Operational Risk
    • Economics
  294. Kenya's budget cut

    10 October 2019 William Farmer

    Kenya's proposed budget cut likely to target public-sector wage bill, increasing likelihood of strikes

    • Political Risk
    • Operational Risk
    • Economics
  295. Capital Markets Weekly: Italian and Greek debt successes highlight continuing yield-driven diversification

    07 October 2019 Brian Lawson

    Highlights this week include Greek corporate issuance and record-low yields for auctions of five and ten-year Italian government debt.

    • Purchasing Managers’ Index (PMI)
    • Economic Data
    • Economics
  296. Weekly Pricing Pulse: Energy prices retreat as supply fears recede

    02 October 2019 William May

    Energy prices retrace lower whilst trade issues and politics cast a long shadow of uncertainty

    • Commodity Price Forecasts
  297. Weekly Pricing Pulse: Energy prices retreat as supply fears recede

    02 October 2019 William May

    Energy prices retrace lower whilst trade issues and politics cast a long shadow of uncertainty

    • Commodity Price Forecasts
  298. Belarusian external finances highlight vulnerability and dependency on Russia

    02 October 2019 Venla Sipilä-Rosen

    Having given up earlier plans to issue a Eurobond this year Belarus remains financially fragile.

    • Purchasing Managers’ Index (PMI)
    • Economic Data
  299. Capital Markets Weekly: Multiple emerging-market sovereign bond sales well-received

    27 September 2019 Brian Lawson

    Emerging market sovereign supply has revived strongly with sovereign issuance by South Africa, Abu Dhabi, Bahrain, Ecuador and Uruguay this week....

    • Economic Data
  300. Monthly GDP Index from Macroeconomic Advisers by IHS Markit for August

    26 September 2019 Kathleen Navin, CBE Ben Herzon, Ph.D.

    According to our Monthly GDP Index, monthly GDP rose 0.3% in August.

    • Purchasing Managers’ Index (PMI)
    • Economic Data

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