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Indonesia: Five-year Outlook and Risks for the Insurance Industry
Philippines: A Risk Assessment for the Food Retailing Sector
Transparency and Shareholder Rights in Emerging Markets
International Financial Standards and Codes
Best Practices in Country Risk Management
Attitudes Towards Foreign Investment
State Capitalism: The Rise of Sovereign Wealth Funds
Getting Europe to Work: EU Labour markets
Securities Markets of the New EU Member States
Socially Responsible Investment (SRI) in Europe
Financial Sector Regulatory Reform in EU Accession Countries
The Impact of Privatisation in Europe
Saudi Arabia Securities Markets Monitoring
Strategic Early Warning System
Latin America Telecoms Monitor
Scenarios for the Future of Nepal
With the presidential elections now completed, the time is right for a new look at Russia. In this Syndicated Research study we will provide a five-year politial, economic and business outlook for Russia.
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A new report with Ernst & Young identifies the top 10 global risks across 12 of the world's most important business sectors.
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For Standard Chartered, Oxford Analytica identified and analysed the activities of the 20 largest Sovereign Wealth Funds (SWFs).
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Central Asia is now emerging as a central player in global energy production. Will global importance coincide with regional instability and what does this mean for all aspects of foreign investment?
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A global study of the factors that drive and restrain national prosperity across more than 50 countries.
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