
Thomas Haugaard - Hard Currency Emerging Markets Debt at JHI (EP.356)
Capital Allocators – Inside the Institutional Investment Industry
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Navigating Sovereign Credit Risk
This chapter examines the complexities of monitoring sovereign credit risk across various nations, focusing on the development of effective methodologies for analysis. It highlights key insights regarding the relationship between market behavior, macroeconomic factors, and credit ratings, advocating for a nuanced approach to understanding these dynamics. Additionally, the chapter discusses the interplay between political regimes and sovereign risk, emphasizing the long-term implications of governance and institutional quality.
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