Country, credit and macro risk intelligence for African exposure.
Monitor sovereign risk, macro conditions, policy shifts, sector exposure and market events with structured evidence and exportable committee materials.
Portfolio risk monitoring
Watch countries, indicators, debt stress, FX pressure and event risks across African markets.
Investment committee packs
Generate risk reports, country briefs, scenario packs and research notes for governance processes.
Scenario exposure
Evaluate shocks including stronger dollar, commodity volatility, inflation, elections and refinancing risk.
For credit, macro and strategy teams.
| Need | AER workflow | Output |
|---|---|---|
| Sovereign exposure review | Country profile + risk methodology + source evidence | Country brief and risk report |
| Market-entry decision | Sector brief + macro drivers + scenario matrix | Market-entry memo |
| Investment committee | Research workflow + export centre | Committee pack |