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International Risk & Payment Review (Online)

  • December 2016
  • -
  • Dun and Bradstreet (Altares)
  • -
  • 1600 pages

International Risk & Payment Review

The International Risk & Payment Review is an invaluable monitoring tool providing detailed country assessment, which facilitates the management of ongoing business risk.

Provided on an annual subscription basis the Journal provides the critical economic, political and commercial information needed to facilitate decision-making when investing and trading in global markets.

Presented in an easy-to-follow format the analysis and forecasts provides the most up-to-date developments in each market, putting you in the best possible position to reduce risk by keeping you informed of the latest situations.

  • Provides reliable, independent and up-to-date analysis on 132 countries.
  • Is an essential guide to payment terms and delays, and so is crucial for effective negotiating and planning.
  • Includes the unique D&B Country Risk Indicator to help monitor changing cross-border market conditions.
  • Presents vital data on numerous markets in one source, saving hours of research.

The International Risk & Payment Review is compiled by a team of highly skilled analysts using exclusive data from D&B’s global network of reporting offices and worldwide information database. This information is supplemented by primary data from national and international sources, and secondary data from the IMF, World Bank and other multilateral organisations.

Table Of Contents

International Risk and Payment Review (Online)

International Risk and Payment Review

Content:

  • DandB Country Risk Indicator - a unique and comparative cross-border assessment of the risk of doing business in a country.
  • Trend Indicator- a quick reference guide as to whether the risk environment is improving or worsening.
  • Usual Terms - a guide to recommended and minimum credit terms and changes in trading regulations that may affect business transactions.
  • Transfer Situation - a concise analysis of current payment delays with regard to transactions in local and foreign currency, foreign exchange reserves and import cover.
  • Economic Indicators - an index of key economic statistics (GDP growth, inflation, exchange rates, debt-service ratio, etc.) covering three years of historical data and a two-year forecast.
  • Export Credit - a listing of currently available export credit insurance.
  • Risk Factor - a concise analysis of a country's current political, economic and trading conditions, including socio-political and economic forecasts.

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