Research Reports

Top GCC Risks 2016

February 29 , 2016

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Executive Summary

The year 2015 marked one of the worst years for oil prices and resulting government revenues; the backbone on which most of the GCC economies ride. The note highlights the various risks faced by the GCC economies in 2016 on account of low oil price, US Fed rate hike, declining Chinese GDP growth, emerging market crisis and geopolitical events. The note also features the impact that the risks have on various facets such as economy, stock markets, bond markets and real estate.

FAQ

Is regular update for this available?
The report will be updated yearly. However, if required, upon specific request we could provide you with an update.

Can I only download certain sections of the report?
No. The Report can be downloaded in full length only

Key Questions Addressed

  • What are the various headwinds that GCC economies might face in 2016?
  • How could the risks manifest in 2016?
  • What would be the impact on a) GCC Economies, b) Stock Markets, c) Bond Markets, d) Real Estate

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