The Africa Risk-Reward Index 2022: Opportunity through uncertainty

Without a doubt, the impacts of a global economic crisis triggered by the pandemic, climate change, and conflict in Ukraine have exacerbated uncertainty and forced geopolitical changes that will redefine Africa’s role relationship with the rest of the world for years to come.  Although deglobalisation poses serious risks for Africa, the large scale and speed of this change presents significant opportunities for African countries and investors. Seizing them will be more imperative now than ever.

Control Risks and Oxford Economics Africa are pleased to launch the seventh edition of the Africa Risk-Reward Index. The index illustrates the evolution of the investment landscape in major African markets and provides a grounded, longer-term outlook of key trends shaping investment in these economies. It also offers a comparative snapshot of market opportunities and risks across the continent, which will allow your organisation to develop an informed strategy for growing your business or investing in Africa.

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