Reappraising Emerging Markets Risk
In an era where a global financial crisis has been caused not by developments in Russia, South-East Asia or Argentina, but by banking insolvency in the United States and sovereign default risks in a eurozone member state, namely Greece, our panel of senior commentators discusses what it means to be an ‘emerging market’. Justin Patrie, Head of Europe Analysis, Rahul Ghosh, Head of Asia Analysis and Mark Schaltuper, Head of Latin America Analysis at Business Monitor International explore how risk perceptions of emerging markets are shifting and what this will mean for the global macroeconomic outlook.
