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Browse and buy BMI's independent Country Risk reports and research on Financial Markets.

Global Macro Monitor

Key macroeconomic forecasts, assumptions and market views

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Emerging Markets Monitor

Independent financial market, political risk and economic analysis

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Corporate Financing Week

Covers global M&A activity and company financing analysis

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Financial Markets

Metrics

The Financial Markets team produces daily analysis and forecasts on all regional asset classes, which appear in the following products:

Daily Financial Alert – A daily email product analysing both short and long-term financial market trends, detailing specific trade ideas. This analysis is backed up by an in-depth assessment of economic and political developments across the world and our leading macroeconomic forecasts.

Emerging Markets Monitor – A weekly publication bringing together key global financial market views and developments, also featuring BMI's Sovereign Risk Ratings.

Corporate Financing Week – A weekly publication containing news and analysis on mergers & acquisitions, corporate financing activity and private equity across global markets.

Global Macro Monitor – BMI's flagship monthly publication, contains all our key global macro and financial markets views and forecasts, as well as our key commodity views and forecasts.

Methodology

BMI produces forecasts and specific trade ideas across global asset markets by following a rigorous three-step process:

  • Fundamental Analysis
  • Technical Analysis
  • Sentiment Analysis

The alignment and coherence of each area of analysis has allowed BMI to produce powerful views across global financial markets in recent years, creating a highly credible track record, which can be viewed on our online service.

Our top views form part of The Key Market Views section of the website (which can also be found in the Global Macro Monitor publication), and make up our Mock Portfolio matrix. This is intended to give an immediate perspective on our key financial market views across global markets. Although our analysts produce many views across asset classes, only those adjusted to represent our top three per region are included in the matrix. When a position is closed, either because we are 'taking profit', have hit our target or have hit our stop-loss, we will record it in our 'Closed Views' table - win or lose.

The sovereign risk rating is composed from a country's ability and willingness to service its debt obligations. The 'ability to pay' element is determined by assessing key macro variables, while the 'willingness to pay' element is a subjective assessment of various political risk criteria. The overall rating also comprises of a market element, which reflects whether, in BMI's opinion, the value of the bond is justified by the underlying fundamental outlook.

BMI produces specific short and medium-term forecasts on all liquid currencies, as well as the outlook for the currencies of 180 countries over a 5-10 year horizon.

Complementing the Country Risk and Financial Markets analysis is a Commodities service that provides short-term targets, medium-term forecasts, views and analysis on over 16 key commodities, including oil, industrial and precious metals, softs and grains. The commodities research also includes supply and demand forecasts, supplemented with key inventory analysis.

Team Expertise

This diversity in risk analysis – political, macroeconomic, financial market - is reflected in the varied skill set of the Country Risk team, which is made up of highly skilled analysts. The team boasts a mixture of political scientists, economists, and experienced financial market analysts.

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Global Macro Monitor

GMM

Global Macro Monitor (GMM) brings together all BMI's wholly independent and respected key macroeconomic forecasts, assumptions and market views into a single monthly publication, bringing you a crucial overview of the global economy and an 'at-a-glance' perspective on how global macroeconomic changes will impact on your operations.

Coverage includes BMI's Country Risk and Financial Markets team's global outlook, with unrivalled coverage of developed states, as well as key regional and country-by-country stories of emerging states in Asia, Latin America, Europe, Sub-Saharan Africa and the Middle East & North Africa - all backed by BMI's 25 years of emerging markets specialization.

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Emerging Markets Monitor

EMM

Emerging Markets Monitor (EMM) is a 24-page weekly brief providing independent financial market, political risk and economic analysis together with specific forecasts for foreign exchange, bonds and equities across global emerging markets.

EMM analyses market movements in Asia, Latin America, Emerging Europe and the Middle East and Africa, focusing on the implications for external debt, local debt, credit default swaps, foreign exchange, interest rates, equity indices and commodities, incorporating both short and medium-term views.

With an unrivalled track record on global financial market and macroeconomic forecasting, financial professionals and investment managers worldwide continue to rely on the clear asset class recommendations provided by EMM's award winning treasury team every week.

Subscribe to Emerging Markets Monitor

Corporate Financing Week

Regional Monitors

Corporate Financing Week (CFW) covers global M&A activity and company financing analysis, with must-read updates on deals in the pipeline and innovative financing techniques before they appear elsewhere. This strategic tool moves beyond analysis of individual deals to provide you with insights into the dominant trends in global corporate financing, tracking financial flows and drawing their implications for the financing industry. Corporate Financing Week identifies growth areas for M&As and IPOs in terms of sectors/regions and outlines risks to these growth trends.

Corporate Financing Week's key articles combine live quotes from those who make the deals happen as well as CFW's own views on the corporate financing outlook.

Subscribe to Corporate Financing Week

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