Listen On:
Moody's Talks - Emerging Markets Decoded
Episode 7
/
September 15, 2021
Inflation risks are high for emerging markets; Islamic finance issuance steadies
Madhavi Bokil of the Credit Strategy & Research team discusses inflation and financial stability risks in emerging markets. Plus, Nitish Bhojnagarwala and Ashraf Madani of the Financial Institutions team talk about the outlook for Islamic finance.
Inside this episode:
- Madhavi Bokil of the Credit Strategy & Research team discusses inflation and financial stability risks in emerging markets. (begins at 1:36 mins)
- Nitish Bhojnagarwala and Ashraf Madani of the Financial Institutions team talk about the outlook for Islamic finance. (begins at 8:52 mins)
Related content:
- Global Macro Outlook 2021-22 (August 2021 Update): Global growth rebound solidifies while risks broaden away from pandemic - We expect a robust rebound in economic growth despite risks from the delta variant. Inflation has surprised to the upside, but appears close to peak.
- Cross-Sector – Global: Characteristics of asset-based sukuk - This report provides an overview of the key characteristics of “asset-based” sukuk.
- Cross-sector - Islamic finance: Sukuk issuance will steady after five years of strong growth - Despite a solid first six months of the year, sukuk activity for 2021 will consolidate following 2020's record issuance.