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Global Risk Report: 2019

  • ID: 4807591
  • Report
  • July 2019
  • Region: Global
  • 21 pages
  • Euromonitor International
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This report introduces the author’s Global Risk Index (GRI). The GRI measures the expected global GDP impact of a risk scenario when the global economy is hit by negative shocks. It allows multinational organisations to rank and prioritise the main global macroeconomic risks.
The GRI highlights three key adverse scenarios for 2019-2020: A Global Downturn, an Emerging Markets Slowdown and a Global Crisis.

Strategy Briefings offer unique insight into emerging trends world-wide. Aimed squarely at strategists and planners, they draw on the author’s vast information resources to give top line insight across markets and within consumer segments. Written by some of our most experienced analysts, they are designed as provocations for senior management to use in their own forum, allowing them to stand back and reflect on the behaviour and motivation driving global markets today and tomorrow

Data coverage: market sizes (historic and forecasts), company shares, brand shares and distribution data.

Why buy this report?
  • Identify factors driving change now and in the future
  • Understand motivation
  • Forward-looking outlook
  • Briefings and presentation should provoke lively discussion at senior level
  • Take a step back from micro trends
  • Get up to date estimates and comment
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Global Risk Report: 2019

Global Risk Index Introduction
Baseline Global Economic Outlook
Top Five Global Risks
Methodological Appendix
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