S&P Global Ratings issues 2019 infrastructure investor outlook

S&P Global Ratings has published its infrastructure investor outlookWhat Matters For Infrastructure Investors in 2019: Brexit, Populism And Country Risks’ , examining the prevailing concerns among infrastructure investors  in the current economy. These include: heightening policy risk, country and sovereign risk, and the overarching impact these could have on contractual and regulatory stability. 

Examples include the risk of a no-deal Brexit; disagreement over funding for US infrastructure projects; the key elections scheduled within a number of emerging markets; and credit-transitioning risk in China. 

Aspects of the report have been covered by IPE Real Assets and IPFA.