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EM financial risk indicators dashboard

EM currency risks continue to ease, fiscal risks remain moderate

Highlights from our recent quarterly update of the EM Financial Risk Monitor, analyzing the overall state of EM risk and identifying the most concerning economies, along with the reasons behind their vulnerability

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How has emerging market risk fared as the global inflation surge fades and central banks move towards easing? Where is risk rising across the EM universe, and which countries have seen the most improvement? Our EM Financial Risk Indicators provides unique insight into banking, FX and sovereign risk levels in more than 30 of the biggest EMs.

In this special presentation, Senior EM Economist Liam Peach highlights key takeaways from our latest quarterly refresh, discussing the state of EM risk overall while pinpointing which economies look most worrying and why. This presentation showcases our interactive EM Financial Risk Indicator dashboard, just one of the features available with a subscription to CE Advance, our premium platform.

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EM financial risk indicators
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EM financial risk indicators dashboard

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