Strategic Intelligence
Geo-Economic Risk Index
A composite measure of governance quality and macroeconomic stability
Your Watchlist
No countries saved yet. Click the star on any country to add it here.
| * | Rank | Country | Risk Score | Governance | Macro | GNI Growth | Inflation |
|---|
Methodology: The Blomstra Geo-Economic Risk Index combines governance quality (Rule of Law, Control of Corruption, Political Stability from World Bank WGI) with macroeconomic stability (GNI growth and inflation from World Bank WDI).
Risk Score = 100 – ((Governance + Macro) / 2).
A country is included only if it has at least 2 of the 3 governance indicators and both macro indicators (GNI growth and inflation). Countries missing either pillar are excluded — no imputation is applied to fill missing data.
Full methodology →
| Country | Reason |
|---|
