Moody's Talks - Emerging Markets Decoded

By Moody's Investors Service

Moody’s experts from around the globe join hosts Ariane Ortiz-Bollin and Thaddeus Best to discuss key economic, financial and credit trends shaping emerging markets. Published by Moody's Investors Service.

  1. 1.
    China Evergrande’s financial stress raises challenges for China’s property market and economy
    10:42
  2. 2.
    Social safety nets support governments; sub-sovereign governments face high social risks
    15:59
  3. 3.
    Inflation risks are high for emerging markets; Islamic finance issuance steadies
    17:43
  4. 4.
    China’s path to net-zero emissions will become increasingly difficult
    19:02
  5. 5.
    Emerging market banks’ asset risks rising; Mexican banks benefit from rising rates
    15:25
  6. 6.
    Non-investment-grade sovereigns face delayed recovery; Asia-Pacific lags in vaccinations
    21:46
  7. 7.
    Credit risks for Sub-Saharan African sovereigns and banks rise; telecom sector a bright spot
    19:28
  8. 8.
    Corporate liquidity in Latin America is adequate; Brazil faces tough policy choices
    17:22
  1. 9.
    Emerging markets poised for a rocky and uneven recovery from pandemic
    17:04
  2. 10.
    Welcome to Emerging Markets Decoded
    0:43
  3. 11.
    Sovereign wealth fund drawdowns will help meet elevated funding needs across Gulf
    13:56
  4. 12.
    Climate risks and income inequality are prime ESG risks for EM governments
    14:42
  5. 13.
    Latin America grapples with slow economic recovery, rising social demands
    14:40
  6. 14.
    Credit stress will persist in Sub-Saharan Africa amid bumpy economic recovery
    15:42
  7. 15.
    Social trends take hold as a driver of emerging market credit and financing
    14:56
  8. 16.
    Assessing the future of China’s Belt & Road and ESG risks in emerging markets
    13:39
  9. 17.
    Credit conditions will be mixed across emerging markets amid uneven COVID-19 recovery
    15:30
  10. 18.
    EM government revenue is unlikely to return to pre-pandemic levels in 2021
    13:01
  11. 19.
    China ramps up infrastructure spending to galvanize economic growth
    15:12
  12. 20.
    Government stress weighs on African banks; Lebanon’s economic conditions deteriorate
    14:40
  13. 21.
    Mexico’s job losses will cut across the economy; political risks rise in Belarus
    15:53
  14. 22.
    Institutional weakness and high debt burdens are leading causes of sovereign defaults
    13:59
  15. 23.
    Global remittances fall; sukuk issuance to rebound after first-half stumble
    13:39
  16. 24.
    Travel slump casts shadow over UAE property market and Macao gaming
    14:59
  17. 25.
    Downturn in oil demand poses obstacles for Russian oil companies
    16:09
  18. 26.
    Pandemic shines spotlight on credit challenges in Turkey
    16:37
  19. 27.
    Coronavirus weighs on tourism reliant EM sovereigns
    15:24
  20. 28.
    How Beijing’s policy agenda will shape China’s credit outlook
    14:25
  21. 29.
    G-20 debt relief plan no panacea for vulnerable emerging markets
    16:07
  22. 30.
    Emerging markets confront far-reaching economic challenges
    15:47
  23. 31.
    Credit challenges in Mexico and worsening prospects for the Chinese property sector
    16:55
  24. 32.
    What the worlds largest lockdown and the coronavirus mean for India
    15:11
  25. 33.
    Emerging market credit in the time of coronavirus
    14:42

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