What we do?
pieces a year
clients, prospects and partners in decision making
We monitor and rate
countries and 18 sectors
We rely on three pillars: country risk analysis, sector risk analysis, and insights on key thematic trends, with trade, insolvency, payment behavior and SMEs as the main focuses. Our work serves internal clients (CEO and regional CEOs, finance, risk underwriting, marketing, communication…) as well as external ones (EH insured and prospects, brokers, partners) and is regularly featured in tier-1 media worldwide.
Economic Research Publications
Country Risk Map
Our ratings aim to assess the risk of non-payment by companies in a given country, and thereby support our clients in making informed decisions about their international business activity. Our methodology consists of analyzing hundreds of economic indicators, both quantitative and qualitative, to provide the best understanding of the economic, political, business environment, commercial and financing risks.