This series of events brings together some of Moody’s top minds to provide an in-depth analysis of key issues and their effect on credit quality in eight markets. Gain an understanding of what these issues are likely to mean for sovereign credit risk in the wake of the pandemic.
Watch On Demand
Deep Dive: Asia ex China
South and South East Asia: The path to normalization
Deep Dive: China
Managing deleveraging risks in the Common Prosperity era
Deep Dive: Middle East and North Africa
Stable outlook for the GCC sovereigns, underpinned by higher oil prices and output, contrasts with weak recovery prospects and growing social tensions in the rest of the MENA region
Deep Dive: Sub-Saharan Africa
Sub-Saharan Africa sovereigns will continue to face significant negative credit pressure in 2022
Deep Dive: Latin America
Will strong growth alleviate political crisis?
Deep Dive: Russia, CIS & Turkey
Sovereign credit outlook in light of inflationary and political pressures
Deep Dive: EU & UK
Post-pandemic European economic agenda will be dominated by growth and debt concerns
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