Country Risk and Market Outlooks
1 articleWithin Economy and Investment, Country Risk and Market Outlooks isolates the questions around sovereign risk assessment, macroeconomic outlook and regulatory risk. Editors trace currency risk, debt vulnerability and investment risk scenarios through policy choices, financing conditions, growth, investment incentives and operating risk, asking which changes alter policy, markets or strategic risk. The editorial test is whether country risk and market outlooks leads the analysis; Labour Markets and Industrial Policy should not displace that intent.
Tunisia plunges to record low in global investment freedom ranking
Tunisia has fallen to 164th out of 175 countries in the 2026 Investment Freedom Index, scoring just 20 points and highlighting severe obstacles for investors as regional competitors surge ahead.