报告封面
报告信息
出版商
Economist Intelligence Unit
页码
18 p.
语种
英语

简介

Sovereign risk remains CCC-rated. Gross public debt is high—driven in part by large fiscal deficits—and exerts the heaviest weight on the rating. However, a funded IMF programme is guiding policy and serving as a crucial financial buffer. The gross external financing requirement is moderate, and a clear commitment to repay debt mitigates the sovereign's foreign repayment risks.

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