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Economics & Country Risk

Put our 360-degree perspective
to work for you

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Our data, models, and experts provide companies with the complete perspective from global economic strengths to industry level health and down to street-level risk assessments and everything in between...

Insights from Economics & Country Risk

Our clients rely on us to support their strategic and tactical plans whether they are expanding their global footprint, negotiating pricing, setting investment plans, protecting their assets, or trying to increase revenue.

With comprehensive and consistent data, economic and risk forecasting models, granular country and sovereign risk assessments, comparative industry forecasts, commodity prices, and unmatched expertise, we enable customers to identify and optimize opportunities, mitigate risks, and solve problems across the globe.

IHS Markit is now part of S&P Global

As part of the merger, we have refreshed the ihsmarkit.com site with S&P Global branding and updated the site navigation to align business products with their new divisions.

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Explore Our Capabilities

Global Economics

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Purchasing Managers Index – PMI™

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Regional Explorer: Economics, Risk, and Data Analytics

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Webinar | Global Economies in Flux: Drive Decisions with Purchasing Managers' Index™ (PMI) Data

Join Chris Williamson, Chief Business Economist to get a timely update on the global economic landscape through the lens of the PMI survey data.

9 March | 10am ET | 4pm CET

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Podcasts

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17 March 2023 24:19

Critical Minerals and Geopolitical Risks

25 February 2023 14:27 min

South African politics: 10 minutes with an expert

18 February 2023 20:41

PMI Insights: Inflation trends, China re-opening, top 10 indicators

18 February 2023 30:54 min

Russia - Ukraine War, One Year On

04 February 2023 20:16 min

Nigeria votes

27 January 2023 35:49 min

A World Rebalancing

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2022 Supply Chain Survey Report

What does the ideal supply chain look like today? And how should it look tomorrow?

Download now
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Blogs & Analysis

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21 hours ago

Banking stresses amplify economic risks

Yesterday

US Weekly Economic Commentary: Financial turbulence reflects and creates uncertainty

Yesterday

Argentina’s balance between debt and fiscal management and electoral objectives in 2023

17 March 2023

UK house prices in February posted largest annual fall since end-2012

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Global Webinar | The Latest economic trends from the Purchasing Managers' Index™ Survey Data

Get timely insights into the health of the global economy based on survey data of more than 28,000 companies.


7 Dec | 10 am EST | 4 pm CET

Watch Replay
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Experts

Joel Prakken

A thought-leader on US economic outlook, monetary policy forecasts and fixed income markets with over 30 years of experience and expertise as a macroeconomic modeler, Dr. Joel has developed an unmatched structural-econometric model of the US economy. He co-founded Macroeconomic Advisers which was acquired in 2017. Prior to founding Macroeconomic Advisers, Dr. Joel held the position of senior economist at the World Headquarters of the IBM Corporation and before that he served with the Federal Reserve Bank of New York, US. He also has held positions on the faculties of New York University's Graduate School of Business, the Economics Department of Washington University, and the Olin School of Business at Washington University. He is the past president and a fellow of the National Association for Business Economics (NABE). He is also past president of the Gateway Association of Business Economists in Saint Louis. Dr. Joel has many publications to his credit, including papers written for the Council of Economic Advisers, the American Council for Capital Formation, and the Center for the American Study of Business on topics ranging from tax reform to budget policy to monetary policy to the impact of technology on productivity. He has testified on these topics before committees in both the US House of Representatives and the Senate. Dr. Joel has participated in meetings of the Outside Consultants to Board of Governors of the Federal Reserve System, is a past member of the Panel of Economic Consultants to the Congressional Budget Office and is a current member of the advisory committee of the Bureau of Economic Analysis.Dr. Joel completed his undergraduate degree in economics at Princeton University, and holds an MA and Ph.D. in economics from Washington University in Saint Louis, United States.

  • Economics
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View Profile

Rajiv Biswas

Rajiv previously worked as Director for South-East Asia for The Economist Group. His previous experience includes working for UBS as Executive Director for Asia-Pacific Country Risk and for the Royal Bank of Scotland as an international economist. He has also worked for an international organization, the Commonwealth Secretariat, as a senior economist in the International Capital Markets Department. Rajiv's experience also includes working as a consultant for the United Nations and the Asian Development Bank.Rajiv is a graduate of the London School of Economics, for the B.Sc.Econ. Hons. in Economics, and received his M.Sc. and D.I.C. from Imperial College at London University. Rajiv has published widely on a range of economic, trade and investment related topics, with over 100 published articles. He frequently speaks at international conferences on the global and Asia-Pacific economies, including at World Economic Forum and Euromoney events as well as at United Nations conferences. He regularly appears on international TV programs, including for the BBC, CNBC, Bloomberg, Channel News Asia, CNN and Al Jazeera TV.Rajiv is the author of "Future Asia", published by Palgrave Macmillan in 2013, "Asian Megatrends" published by Palgrave Macmillan in 2016 and "Emerging Markets Megatrends" published by Springer/Palgrave Macmillan in 2018.

  • Economics
  • Commodities
  • Global Economics
  • Emerging Markets
  • Gross Domestic Product (GDP)
  • Scenario Planning
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Ken Wattret

Ken has worked as an economist in the financial sector since the early 1990s, initially for HSBC Global Markets. From 2000 onwards, he was the chief market economist for the euro area at BNP Paribas. Prior to joining IHS Markit (now part of S&P Global) in 2018, he was a Managing Director of Global Macro at TS Lombard, an independent research provider. A specialist in economic and policy issues, he leads the Analysis and Insights group in Europe for S&P Global and takes a lead role in the presentation of key forecasts and themes to a broad spectrum of clients across the globe. He is a well-known media commentator on economic and financial issues.He received his honors degree in economics from the University of Sheffield, UK, and has post-graduate qualifications in finance.

  • Economics
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  • Gross Domestic Product (GDP)
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  • Purchasing Managers’ Index (PMI)
View Profile

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Mar 22
EconomicsRisk@EconomicsRisk

Kenya's cabinet approved the removal of a moratorium on new power purchase agreements (PPAs). Read our take here:… https://t.co/pMGkH2ARiw

Mar 22
Mar 22
EconomicsRisk@EconomicsRisk

Turbulence in the banking sector poses downside risks to the economic forecast, especially in the US and Western Eu… https://t.co/7MKBmzCUrX

Mar 22
Mar 22
EconomicsRisk@EconomicsRisk

The failure of Silicon Valley Bank and Signature Bank sparked concerns beyond the U.S. about lenders’ liquidity pos… https://t.co/xrM3LHgxWB

Mar 22
Mar 21
EconomicsRisk@EconomicsRisk

For the next two political terms, Argentina's next two governments will face heavy external debt service requiremen… https://t.co/mY6Sx2b0d0

Mar 21
Mar 21
EconomicsRisk@EconomicsRisk

RT @IHSMarkitMandT: Our latest paper seeks to identify and analyze the key tactics and methods employed by Russian and non-Russian vessels…

Mar 21

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