International Risk & Payment Review complements D&Bís assessment of corporate risk by providing country risk analysis; specifically, an assessment of those risks posed by country - wide factors on individual trading and investing decisions. Financial, commercial and socio-political information is gathered from a wide variety of sources, including our correspondents and offices situated in-country. This information is then analyzed by a team of economic, political and trade experts within D&Bís Country Risk Services Group. Finally, a country risk indicator which assesses and ranks the risks of doing business, is assigned to each country. Concise guidance on recommended payment instruments also provides an overall picture of payment conditions as the affect overseas trade.
Updated monthly, the data and analysis are presented in a standard format that facilitates the comparison of economic, political and commercial conditions across countries around the globe.
- Provides reliable, independent and up-to-date analysis of 132 countries
- Is an essential guide to payment terms and delays, and so is crucial for effective negotiating and planning
- Includes the unique D&B Country Risk Indicator to help monitor changing market conditions
- Presents vital data on numerous markets in one source, saving hours of research