Economic research and intelligence on Africa's markets
For investors, governments, multilaterals and enterprises
Africa Economic ReviewEconomic intelligence
Solutions Investors & lenders Governments & public institutions Enterprises & market entry Platform Platform overview Intelligence Graph Data & analytics Risk intelligence Research & media Research & insights Sector intelligence AER Media Pricing About Contact Request demo Sign in

Solutions by institution type

Decision-grade intelligence, credit-readiness workflows and research outputs for African market decisions.

Investors & lendersGovernments & public institutionsEnterprises & market entrants
Sovereign & market riskCredit improvementTechnical assistance
Pricing & accessRequest a demoClient portal

Platform architecture

Integrated African macroeconomic data, source governance, risk methods, scenarios and institutional reporting.

Platform overviewAfrica Economic Intelligence GraphData & analytics
Sovereign & market riskScenario analysisReport Studio
Data governanceTechnical assistanceDashboard

Research and insight

Country intelligence, sector outlooks and risk briefings prepared for institutional decision-making.

Research & insightsSector intelligenceCountry intelligence
Risk briefingsReportsEconomic calendar
AER MediaRequest research accessPlans and access

AER Media

Broadcast-style market briefings, video explainers, interviews and podcasts on African economic risk and opportunity.

AER TVVideo briefingsPodcasts
Programme slateInterviewsWeekly market brief
Follow on XFollow on LinkedInPitch an interview

Company

Learn about Africa Economic Review, our methodology, institutional access and commercial engagement.

About AERMethodologyContact
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Sovereign & Market Risk

Risk monitoring designed for African market exposure.

AER combines country risk scores, FX and inflation pressure, debt stress, scenario impacts, alerts and committee-ready reports into a sovereign and market risk workflow.

Risk architecture

Methodology-backed monitoring, not isolated signals.

Risk views connect to indicators, sources, analyst notes, scenarios and reports so users can understand what changed and why.

Country Risk Monitor

Composite views across sovereign, FX, inflation, debt, fiscal, external liquidity and growth categories.

Scenario Impact Engine

Stress country and sector exposure under global rates, currency, commodity, debt and climate shocks.

Risk Reports

Generate institutional reports, board packs and committee materials for decision forums.

Credit-quality improvement

Risk intelligence should also support institutional improvement.

For sovereigns, municipalities, SOEs and enterprises, AER links assessment weaknesses to diagnostics, evidence requirements, technical assistance notes and improvement roadmaps.

From risk finding to action

Weak reporting, debt transparency gaps, revenue quality issues or governance concerns can be converted into practical improvement actions and evidence-room requirements.