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EIU | Financial Risk | Macro financial stability data for 131 markets to assess and quantify risk

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Databricks2025-11-18 收录
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EIU’s Financial Risk service helps businesses, financial firms and governments to assess financial crisis risks across 131 markets by monitoring fiscal sustainability, currencies and banking sectors. It combines EIU's data and country expertise with a rigorous risk-modelling framework, providing a comprehensive number of macroeconomic variables per report. Users receive three reports annually, including an overall assessment, in-depth analysis, a two-year forecast and data tables. Updates are provided for significant events. The service covers five risk sources: politics and institutions, economic policy, economic structure, macroeconomy, and financing and liquidity.

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