TITLE

RISK SUMMARY: SLOVAKIA

PUB. DATE
July 2009
SOURCE
Emerging Europe Monitor: Central Europe & Baltic States;Jul2009, Vol. 16 Issue 7, p8
SOURCE TYPE
Country Report
DOC. TYPE
Article
ABSTRACT
The article presents a political, economic and business risk assessment for Slovakia in 2009. On May 5, it was announced that Environment Minister Jan Chrbet will be removed from his position in cabinet. Data from the Statistical Office of the Slovak Republic revealed that the country's unemployment rate increased to 10.9% in April. The decision of ratings agency Moody's to downgrade the outlook of the country's banking sector has been criticised by the National Bank of Slovakia (NBS).
ACCESSION #
41876489

 

Related Articles

  • Commercial Banking Business Environment Rating.  // Turkey Commercial Banking Report;2008 4th Quarter, p18 

    The article reports on the commercial banking business environment rating (CBBER) in Turkey in 2008. According to the article, the country's overall CBBER is 57.1 in which the banking market structure is significantly more favourable than the country structure with a score of 65.6 and 43.0,...

  • Business Environment Outlook.  // United Kingdom Commercial Banking Report;Q2 2011, Issue 2, p10 

    The article describes the commercial banking business environment rating methodology. Limits of potential returns and risks to the realisation of returns are taken into account by the Commercial Banking Business Environment Rating (CBBER). Evaluation of limits of returns includes market elements...

  • Business Environment Outlook.  // Venezuela Commercial Banking Report;Q2 2011, Issue 2, p10 

    The article describes the commercial banking business environment rating methodology. Limits of potential returns and risks to the realisation of returns are taken into account by the Commercial Banking Business Environment Rating (CBBER). Evaluation of limits of returns includes market elements...

  • RISK SUMMARY.  // Emerging Europe Monitor: Central Europe & Baltic States;Mar2008, Vol. 15 Issue 3, p4 

    This article presents a summary of political risk, economic risk and business environment analysis on Poland. The public sector pay disputes will prove a key test for the new government, which must balance its commitment to public sector reform, as well as managing escalating inflation. It is...

  • BMI Banking Sector Methodology.  // Russia Commercial Banking Report;Q3 2010, p49 

    The article describes the methodology for the journal's commercial banking sector forecast for Russia for 2010-2014. It explains that the commercial banking forecast report series is integrated with the analysis of country risk, macroeconomic trends, and financial markets. It claims that the...

  • Business Environment Outlook.  // Singapore Commercial Banking Report;Q3 2011, Issue 3, p11 

    The article presents an outlook for the commercial banking business environment of Singapore in the third quarter of 2011. It mentions that the country will have a good business environment scoring of 83.1 and ranked sixth overall. It also provides a chart depicting the commercial banking...

  • Commercial Bank Business Environment Rating.  // United Kingdom Commercial Banking Report;Q2 2012, Issue 2, p53 

    The article discusses the approach used by Business Monitor International Ltd. (BMI) for their commercial banking business environment rating in Great Britain. It says that the company employs three methods such as assessment of market attractiveness and risks, identification of objective...

  • Commercial Banking Business Environment Rating.  // Saudi Arabia Commercial Banking Report;2009 2nd Quarter, p14 

    The article presents the commercial banking business environment ratings of the 45 emerging markets including South Korea, Great Britain, the U.S. and China. It relates that Great Britain and the U.S. rank first and second place respectively in the crucial market structure and limits of...

  • BMI Banking Sector Methodology.  // China Commercial Banking Report;Q2 2011, Issue 2, p57 

    The article reports on the methodology adopted by the journal to analyze the Chinese commercial banking sector's country risk, macroeconomic trends,and financial markets for 2011-2015. The journal collates its databank from central banks and regulators and risk ratings and forecasts result from...

Share

Read the Article

Courtesy of VIRGINIA BEACH PUBLIC LIBRARY AND SYSTEM

Sorry, but this item is not currently available from your library.

Try another library?
Sign out of this library

Other Topics