oxan.com
Global Risk Monitor - Oxford Analytica
http://www.oxan.com/Analysis/GlobalRiskMonitor
What sets us apart. Track the most significant global strategic risks. The Global Risk Monitor (GRM) tracks our top ten global strategic risks the most serious and pertinent geopolitical and macroeconomic risks the world faces in the year ahead. We also track bespoke risks for clients using the same model and methodology, in the GRM's offshoot, the Custom Risk Monitor. Identify strategic risks ahead of time. Monitor whether risks are worsening or improving. Individual graphical risk history. Mix and matc...
worldoutlooks.com
World Outlooks > Risks > Politics
http://worldoutlooks.com/Risks/Politics/tabid/130/Default.aspx
World Economic Forum, Global Risks Report 2015. Interstate conflict with regional consequences. Failure of national governance (e.g. corruption, illicit trade, organized crime, impunity, political deadlock, etc.). State collapse or crisis (e.g. civil conflict, military coup, failed states, etc.). Weapons of mass destruction. Scores recalculated from a maximum of 7 to a maximum of 10. 10 = highest likelihood and impact. Oxford Analytica, Global Risk Monitor. Afghanistan peace process fails. Commodity prod...
worldoutlooks.com
Risks > Multi-Dimension
http://worldoutlooks.com/Risks/tabid/125/Default.aspx
Global Risks Radar (Richard Watson, August 2015). Global Risks 2015 (World Economic Forum, January 2015). World Economic Forum, Global Risks Report 2015 (15 January 2015). Asset bubble in a major economy. Deflation in a major economy. Energy price shock to the global economy. Failure of a major financial mechanism or institution. Failure/shortfall of critical infrastructure. Fiscal crises in key economies. High structural unemployment or underemployment. Failure of climate-change adaptation. Internationa...
worldoutlooks.com
Risks > Economy
http://worldoutlooks.com/Risks/Economy/tabid/128/Default.aspx
World Economic Forum, Global Risks Report 2015. High structural unemployment or underemployment. Asset bubble in a major economy. Fiscal crises in key economies. Energy price shock to the global economy. Failure of a major financial mechanism or institution. Failure/shortfall of critical infrastructure. Deflation in a major economy. Scores recalculated from a maximum of 7 to a maximum of 10. 10 = highest likelihood and impact. Date format is Year.Month.Day. Global Financial Stability Report Apr 15.
preview.oxan.com
Global Risk Monitor - Oxford Analytica
http://preview.oxan.com/Analysis/GlobalRiskMonitor
What sets us apart. Track the most significant global strategic risks. The Global Risk Monitor (GRM) tracks our top ten global strategic risks the most serious and pertinent geopolitical and macroeconomic risks the world faces in the year ahead. We also track bespoke risks for clients using the same model and methodology, in the GRM's offshoot, the Custom Risk Monitor. Identify strategic risks ahead of time. Monitor whether risks are worsening or improving. Individual graphical risk history. Mix and matc...