Our economists are responsible for developing the macroeconomic forecasts and risk scenarios used by S&P Global Ratings' analysts during the ratings process, as well as leading key cross-sector and cross-divisional research projects.
Ongoing The reports look into financial conditions, outlooks, forecasts, economic indicators, and specific topics from a global perspective as well as regional and country coverage – Asia-Pacific, EMEA, Emerging Markets, Latin America, Canada, the U.K., and the U.S.
Biweekly Updates on the U.S. economy, including economic indicators for the labor market, consumer spending, and confidence; business activity and sentiment; housing and construction, and prices. In addition, the economic release calendar is provided.
Ongoing The regional reports for the Americas, Asia Pacific, and Europe provide economic insights, including current state of play, outlook, and risks, as well as tables and data with selected economic indicators and forecasts.
Monthly Periodic reports that include key takeaways, economic and credit conditions highlights, macro-credit dashboards, emerging markets’ heatmaps, financial conditions highlights, and ratings summaries.
The report highlights key economic activity data and evaluates their potential relevance for risks to expansion.