10 April 2023

Thailand’s BOI strengthens energy and digital infrastructure with $1.64 billion investment privileges

Thailand’s Board of Investment (BOI) has granted investment privileges to projects in the energy and digital sectors worth a combined 56.6 billion baht (US$1.64 billion) to strengthen the country’s infrastructure.
1 October 2022

Infrastructure in rising interest rate environments

With varying degrees of resolve, central banks in major economies are tightening monetary policy in response to record high inflation.
23 May 2022

The inflation puzzle: money printing and the devaluation of fiat currency

Inflation has surged to multi-decade highs prompting central banks to ramp up monetary tightening and set out plans to unwind outsized balance sheets.
18 May 2022

US recession risk climbing

The path to avoid a recession in the US, the world’s largest economy, is starting to narrow.
20 April 2022

Choppy waters: the spectre of a eurozone recession is rising

The war in Ukraine has delivered an acute supply shock to the eurozone, pushed already high inflation to new multi-decade highs and increased the risk of […]
15 March 2022

Ukraine conflict and the impact on the European banking landscape

The primary consideration in any conflict is the humanitarian crisis. We sincerely hope for a ceasefire and rapid diplomatic resolution. Russia’s military invasion of Ukraine led […]
7 March 2022

Ukraine crisis heightens risk environment for corporates and exacerbates inflation conundrum

Russian president Vladimir Putin’s military invasion of Ukraine has dramatically escalated global geopolitical risk, in potentially the largest conflict in Europe since the Second World War.
9 February 2022

NPL outlook Part II: Greece and Spain could see €43 billion in new NPEs in 2022

Greece and Spain could see €43 billion in new non-performing exposures (NPEs) in 2022, according to a forecast by doValue, the Southern European loan servicing specialist. […]
9 February 2022

NPL outlook: €200 billion in new bad loans across Southern Europe over next three years

Europe’s non-performing loan (NPL) market will bifurcate between legacy and covid-era exposures in 2022. Legacy NPLs will continue to run off this year with the deleveraging […]