A collection of risks associated with investing in a country. Bonds issued by a national government in a foreign currency, in order to finance the issuing country's growth.
Last Updated: Aug 14, 2017
- Capital Intelligence
Research and analysis service providing annual in-depth studies of financial institutions in 39 countries in the emerging markets of North Africa, the Gulf/Mediterranean, Far East, South East Asia, Central and Eastern Europe, the Baltic States, and South Africa.
- International Country Risk Guide (ICRG)
Comprises 22 variables in three subcategories of risk: political, financial, and economic, for 146 countries. Country analyses in ICRG include descriptive assessments and economic data. The site also contains an explanation of the ICRG methodology.
- EIU Eountry Risk
Web-based interactive tool for analysing country credit risk. The risk model assesses the country credit risk of 100 emerging markets and highly indebted countries and provides an early warning system of financial crises in developing countries. Ratings and scores for six regional aggregates determine the riskiness of a region and serve as a benchmark for comparison.
- More Data Resources on Country Risk