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市場調查報告書

全球風險:季度報告(2021 年第一季度)

Global Risk Report Quarterly Update - Q1 2021

出版商 MarketLine 商品編碼 1008889
出版日期 內容資訊 英文 64 Pages
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價格
全球風險:季度報告(2021 年第一季度) Global Risk Report Quarterly Update - Q1 2021
出版日期: 2021年05月31日內容資訊: 英文 64 Pages
簡介

本報告調查全球風險並提供概述、行業趨勢、增□□長預測、區域分析和 COVID-19 的影響等信息。本報告基於 MarketLine 國家風險指數(MLCRI),這是一種獨特的國家風險評估模型,通過評估各種定性和定量因素來確定現有和未來國家風險的水平。

目錄

世界概覽-主要亮點

世界概覽-總結

閃回-2020年5月-2021年4月

大事記-2021年5月-2022年4月

MLCRI-國家排名

MLCRI 2021 年第一季度熱圖

MLCRI-World Situation 2021

COVID-19-主要風險和恢復

節奏緩慢但感染率不斷上升

2020年和2021年增長預測:主要宏觀經濟指標

企業和消費者的情感趨勢

隨著美國產量緩慢恢復,油價上漲

主要國家實施巨額經濟刺激措施導致赤字和債務擴大

COVID-19 對勞動力市場的影響

MarketLine 經濟復甦計分卡

區域分析

區域分析-亞太地區

區域分析-歐洲

區域分析-美洲

區域分析-中東和非洲

調查方法和來源

目錄
Product Code: MLER0013GLBRSK

Summary

Global Risk Report is based on MarketLine Country Risk Index (MLCRI) which is a unique country risk-rating model that determines the existing and future level of country risk by assessing various qualitative and quantitative factors. The index is formulated to help firms prepare their global business strategies on the basis of historical developments in an economy and also their future expectations.

The Country Risk Index incorporates the latest available macroeconomics, political, social, technological, environmental and legal data from a range of recognized national and international statistical sources, and incorporates proprietary data from MarketLine Economics Research. The model also features expert analytical judgment from in-house economists and takes into account their insights and opinions. By applying a robust approach to assessing risk, MarketLine analysts ensure that strategists have an effective tool to assess current trends and risks facing the economies across the globe.

The thirteenth update version of MarketLine Country Risk Index (MLCRI) Q1 2021 ranks Switzerland at the top followed by Singapore and Denmark. 28 countries were identified in the very low risk zone, 22 countries in the low-risk zone, 37 countries under manageable risk, 36 countries under high risk and 13 countries in the very high-risk zone in MLCRI Q1 2021.

Scope

  • According to the Q1 2021 MLCRI update, the APAC region's overall risk score is 42.3, below that of the Americas (47.6) and the Middle East and Africa (51.5). The region's risk score increased slightly from 42.2 in Q4 2020 to 42.3 in Q1 2021.
  • The European region remained the lowest risk region in the Q1 2021 update of the global risk index, owing to its strong macroeconomic fundamentals. Over the last year, European nations were able to control its spread and the risks associated with the pandemic through sufficient control measures enforced in a timely manner.
  • The Americas is the second highest risk region, according to the MLCRI Q1 2021 update, with a regional risk score of 47.6 out of 100. The whole region was battered by the COVID-19 pandemic, which worsened in many countries in the first quarter of 2021. Out of the top 15 worst affected countries, five are part of the Americas. The health crisis has led to a precipitous rise in poverty and social instability in the region, led by high unemployment.
  • The Middle East and Africa (MEA) is the highest risk region according to the MLCRI 2021 Q1 update, with a regional risk score of 51.5 out of 100, which is higher than 51.4 in Q4 2020 but lower than 55.6 in Q2 2020 update of MLCRI. The region continues to be plagued by social conflict and geopolitical turmoil.

Reasons to Buy

  • Global Risk Report is based on MarketLine Country Risk Index (MLCRI) which is a unique country risk-rating model that determines the existing and future level of country risk by assessing various qualitative and quantitative factors. The index is formulated to help firms prepare their global business strategies on the basis of historical developments in an economy and also their future expectations.
  • The Country Risk Index incorporates the latest available macroeconomics, political, social, technological, environmental and legal data from a range of recognized national and international statistical sources, and incorporates proprietary data from MarketLine Economics Research. The model also features expert analytical judgment from in-house economists and takes into account their insights and opinions. By applying a robust approach to assessing risk, MarketLine analysts ensure that strategists have an effective tool to assess current trends and risks facing the economies across the globe.

Table of Contents

Global Overview - Key Highlights

Global Overview - Summary

Flashback - May 2020 to April 2021

Key Events - May 2021 to April 2022

MLCRI - Country Ranking

MLCRI Q1 2021 Heat Map

MLCRI - Global Landscape 2021

COVID-19 - Major Risks and Recovery

Infection rates continue to rise albeit at a slower pace

Growth forecast for 2020 and 2021: Key Macroeconomic Indicators

Business and consumer sentiments trends

Oil prices rise amid slow US output recovery

Increasing deficit and debt levels in major economies with huge spending on stimulus

COVID-19 impact on the labor market

MarketLine's economic recovery scorecard

Regional Analysis

Regional Analysis - Asia-Pacific

Regional Analysis - Europe

Regional Analysis - Americas

Regional Analysis - Middle East and Africa

Methodology and Sources