Global Economic Risk Outlook 3Q18

This report diagnoses and analyzes the main global risks currently perceived as feasible by market participants and
economic observers that could generate a sizable deviation from our baseline global macroeconomic scenario.
Though these are usually events of low probability, their feasibility and adverse effects are large enough to require
monitoring. As such, this report complements BBVA Research’s Country Risk Report, which focuses on key
warning indicators of macroeconomic and financial risk at the country level. What you will find in this report is a
characterization of how these events could materialize and propagate across selected areas.

Fuente: BBVA

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Economía Internacional