The Ultimate Global Risk Matrix – In Seven Dimensions

Sometimes it takes 60 pages to describe where we have been this year; on other occasions it takes 28 pages to describe where we are going and why. However, BBVA (via Constantin Gurdgiev’s True Economics) have managed to condense the state of risk in our global markets down to seven critical dimensions (and into one table). From Macro (GDP and inflation) to Fiscal, Liquidity, and Credit Growth, the following matrix is your must-have guide for this new-year’s cocktail party circuit. You’re welcome…



Source: BBVA research (via True Economics blog)

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