Emerging Markets Financial Risk Monitor EM Financial Risk Monitor (Oct. 2024) Financial vulnerabilities have declined further across EMs. Our currency crisis risk indicator was at yet another multi-year low in Q3 and sovereign debt risks have eased across large parts of Africa... 30th October 2024 · 1 min read
Emerging Markets Financial Risk Monitor EM Financial Risk Monitor (Aug. 2024) Financial vulnerabilities have continued to ease across EMs. Our EM aggregate currency crisis risk indicator hit a multi-year low in Q2, with especially large falls in Turkey and Pakistan. Sovereign... 1st August 2024 · 1 min read
Emerging Markets Financial Risk Monitor EM Financial Risk Monitor (Apr. 2024) Higher US bond yields and a stronger dollar have put some EM currencies under pressure this year, but external vulnerabilities have eased in most EMs which should limit adverse spillovers. Indeed, our... 30th April 2024 · 1 min read
Emerging Markets Financial Risk Monitor Financial risks easing, but still areas for concern The more supportive global risk environment is helping to ease some financial strains across the EM world, but there are still pockets of vulnerability heading into 2024. Balance of payments positions... 19th December 2023 · 5 mins read
Emerging Markets Financial Risk Monitor Financial vulnerabilities lurking in a handful of EMs Financial risks generally look quite low in most major EMs as current account deficits have narrowed this year and banking sectors remain in strong shape. But there are some areas of weakness... 26th September 2023 · 6 mins read
Emerging Markets Financial Risk Monitor Pockets of vulnerability in major EMs Financial risks across the major EMs look relatively well contained for the time being but there are some areas of weakness. Most immediately, following President Erdogan’s election victory the... 31st May 2023 · 5 mins read
Emerging Markets Financial Risk Monitor EM financial risks have eased but not evaporated Financial risks across the emerging world have eased since the start of the year but, with the Fed’s Jerome Powell all but confirming a higher peak for US rates, there is still scope for EMs with weak... 8th March 2023 · 6 mins read
Emerging Markets Financial Risk Monitor EM financial risks mounting as 2023 approaches Global risk appetite has improved in recent weeks, easing some of the strains in EMs. But economic and financial vulnerabilities in EMs are larger going into 2023 than they were at this point last... 7th December 2022 · 4 mins read
Emerging Markets Financial Risk Monitor Global backdrop exposing EMs with weak balance sheets Tighter global monetary policy and the strength of the US dollar continue to punish a number of frontier markets with weak sovereign balance sheets. Meanwhile, worries about Turkey’s balance of... 5th September 2022 · 4 mins read
Emerging Markets Financial Risk Monitor Sovereign debt and current account risks are building The effects of the war in Ukraine and strong dollar are causing sovereign debt risks to build in a handful of frontier markets with weak balance sheets, while public debt dynamics in parts of Emerging... 7th June 2022 · 3 mins read
Emerging Markets Financial Risk Monitor War in Ukraine heightens risks in fragile EMs Financial markets in Central Europe have been hit hard by the contagion from the war in Ukraine, but spill-overs to other EMs have been limited so far. If the war were to result in a sustained period... 10th March 2022 · 4 mins read
Emerging Markets Financial Risk Monitor Turkey and frontiers in the firing line The dramatic slump in the Turkish lira over the past month once again leaves the currency firmly in crisis territory. One crumb of comfort is that Turkish banks are in a better position to cope with... 7th December 2021 · 6 mins read
Emerging Markets Financial Risk Monitor Evergrande & frontier sovereign debt risks build The combination of large foreign-currency debt burdens, low FX reserves and weakening currencies means that the risk of sovereign defaults in Sri Lanka and Tunisia is growing. Elsewhere, China’s... 9th September 2021 · 6 mins read
Emerging Markets Financial Risk Monitor Debt risks building, but mostly a medium-term concern Growing political turmoil in Latin America over recent weeks has raised concerns about public debt, though vulnerabilities are most likely to crystallise over the medium term. Meanwhile, EM currency... 10th June 2021 · 6 mins read
Emerging Markets Financial Risk Monitor Bond market jitters unlikely to trigger spate of EM crises While further market turmoil is a risk over the coming quarters, the likelihood of outright banking, sovereign debt and currency crises among the large EMs is low. More acute vulnerabilities lie in... 5th March 2021 · 6 mins read
Emerging Markets Financial Risk Monitor Vaccines don’t eliminate financial risks Positive vaccine developments have diminished, but not dispelled, financial risks in emerging markets. Brazil and South Africa are still facing slow-burning fiscal crises, while India’s banking sector... 3rd December 2020 · 8 mins read