As global financial conditions shift and growth paths diverge across emerging markets, investors face a more complex mix of currency, banking and sovereign debt risks. How are these risks changing, and what does this mean for equity, bond and FX returns?
Join our economists for an online briefing to walk you through the latest quarterly update of our proprietary EM Financial Risk Indicators.
During this special session the team will use our EM Financial Risk Indicator dashboard to highlight key risk trends across Latin America, Africa, Emerging Europe and Asia, showing you what these shifts imply for financial markets performance both within the EM universe and relative to DMs.
Start date:
End date:
