aswathdamodaran.blogspot.com · 2023-02-11
· 1209d
Country Risk: Measures and Implications for Investment Valuation
This article examines how country risk—encompassing political stability, legal systems, corruption, and default risk—affects corporate valuation and investment decisions across geographies. The author argues that investors must incorporate country risk into equity risk premiums based on where companies operate, not just where they are incorporated, and provides measures including sovereign ratings, CDS spreads, and composite risk scores to quantify country exposure.
Metrics in this report
Implied Equity Risk Premium
5.94%percent
S&P 500 at start of 2023
Sovereign CDS Market Coverage
76countries
Countries with available sovereign CDS spreads in January 2023
Sovereign Ratings Coverage
152countries
Moody's rated countries at start of 2023, up from 33 in 1990