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Changing Capital Flows

Downside risks remain high amid increasing market volatility, and investors are rebalancing their portfolios to adjust for shifting risks—anticipating additional uncertainty.

WHAT WE'RE WATCHING: KEY THEMES 2025 >

Research & Insights



watch:Covered Bonds Uncovered: Dutch Covered Bond Insights and Blockchain Meets Covered Bonds


Islamic Finance 2025-2026: Resilient Growth Amid Upcoming Headwinds


Emerging Markets Monthly Highlights: U.S. Tariffs Cast A Cloud Over Economic Growth


The Ratings View: Apr. 16, 2025


Sector Review: Saudi Retail Real Estate: Cautious Optimism In An Evolving Landscape


GCC Banks Can Cope With The Fallout From Intensifying Trade Tensions


This Week In Credit: Rating Actions Drop (April 14, 2025)


The Ratings View: Apr. 10, 2025


Private Markets Monthly, March 2025: Identifying Potential Systemic Risks In Global Private Credit Markets


Capital Markets Could Support Bank Revenue In 2025, But Uncertainty Due To Tariffs Is High


European Bancassurers Are On The Offensive


Credit FAQ: Making Capital Stretch Further--What Double Leverage Means For Financial Institution Ratings


Financial Inclusion In Emerging And Frontier Markets: Technology Is Delivering For Banks And Societies


EMEA Consumer Goods And Retail: U.S. Tariffs Will Hit Alcohol And Luxury Goods Hardest


North And Latin American REITs And Real Estate Operating Companies Ranking--Strongest To Weakest