The long-term Sovereign Risk Score measures a country's economic and financial strength, as well as its ability and willingness to honour its foreign debt obligations. We cover more than 140 countries and offer five-year forecasts.
The short-term Financial Vulnerability Score tracks higher frequency economic and financial indicators. The methodology is based on the approach for early warning systems for financial crises.
The Environmental, Social & Governance Score extends the standard Sovereign Risk Score by adding risk factors that measure the health of the environment, social system strength and quality of governance. The ESG Score is closely aligned with the UN Sustainable Development Goals.
The Sovereign Shadow Ratings give you a fair rating range for more than 190 countries based on a quantitative approach. It allows you to identify countries with agency up- and downgrade potential.