Markets may be underestimating risks to the global economy
Post-pandemic demand surge to give global GDP an assist too, Goldman Sachs says
Global issuance stunted by market headwinds, but EM issuers thrive: Moody's ESG
Countries in the Middle East and Africa face unrest amid rising food, energy costs
Currencies with correlations to commodities look attractive
Emerging market banks face biggest stagflation risk, but North American securities firms would also be affected, Fitch says
Persistent liquidity constraints and large debt maturities signal that defaults are likely
NEI Investments announces divestment, while more indexes remove Russian listings
Russia constitutes about 3% of MSCI's emerging markets benchmark
ETF expert Daniel Straus likens the delisting to "what would happen to your holdings in a single company if it suddenly went bankrupt"