Academic work using our data

Government officials using our data

2026

2025

2024

2023

2022

2021

2020

2019

Private sector using our data

2026

  • January 2026. World Economic Forum. “Building Geopolitical Muscle: How Companies Turn Insights into Strategic Advantage”.
  • January 2026. DSP. “Beyond the efficient frontier”. 
  • January 2026. Maybank. “

2025

  • December 2025. EY. “2026 Geostrategic Outlook. How to reimagine your strategy to fit new geopolitical realities”.
  • December 2025. Strategy&. “Asset management study 2025. Despite rising assets under management, asset managers remain in a tight spot”.
  • December 2025. McKinsey & Company. “The future of risk: How global trends are reshaping risk management”. 
  • December 2025. Dun & Bradstreet. “Building Future Ready Supply Chains 2025”.
  • November 2025. Techcombank. “Monthly Updates on Macroeconomics and Financial Market”.
  • November 2025. EY. “How to optimize your global strategy amid asymmetric globalization”. [In Spanish]
  • November 2025. Deloitte. “Six workforce strategies to plan for a future you can’t predict”.
  • November 2025. KPMG. “Australian Inflation and Cost Dynamics”.
  • November 2025. Royal Bank of Canada. “Autumn Budget worries? Five ways to help stay in control”.
  • November 2025. DWS. “10 Macro Trends and the Future of APAC Real Estate”.
  • November 2025. Danish Ship Finance. “Shipping Market Review”.
  • November 2025. Brewin Dolphin. “Autumn Budget worries? Five ways to help stay in control”.
  • November 2025. Kantar. “Building Resilience: Sustainability in the Age of Disruption”.
  • November 2025. Social Europe. “Europe Needs Industrial Policy That Puts Workers First in an Age of Uncertainty”.
  • November 2025. PMPA. “November 2025. Economic Report”.
  • October 2025. EY. “EY-Parthenon Bulletin”.
  • October 2025. Techcombank. “Monthly Updates on Macroeconomics and Financial Market”.
  • October 2025. Crisil. “Crisil Insights”. 
  • October 2025. CareEdge Ratings. “Economic Pathway”. 
  • October 2025. Robeco.”The Stale Renaissance”.
  • September 2025. Allianz. “House View Q4 2025: Active and vigilant”.
  • September 2025. PwC. “Momento Económico”.
  • September 2025. S&P Global. “India’s growth realigns with shifting global trends”.
  • September 2025. National Stock Exchange of India. “Market Pulse”.
  • September 2025. berl. “Trade uncertainty is costly”.
  • September 2025. KPMG. “De la geopolítica clásica al riesgo financiero global: el nuevo tablero estratégico de la banca”.
  • August 2025. FBC Bank. “August 2025 Economic Snapshot”. 
  • July 2025. Australia and New Zealand Banking Group. “Australian Wheat and Grains: The New Gold in Global Volatility?”
  • July 2025. KPMG. “Emerging Risks. Risk management in turbulent times”. 
  • July 2025. KPMG. “La gestión del riesgo financiero en épocas de alta volatilidad”. 
  • July 2025. McKinsey. “How Strategy Champions win”. 
  • July 2025. ASSEL. “Electronics component market in Q2 2025”.
  • June 2025. National Bank of Greece. “International uncertainty is testing the resilience of Greek entrepreneurship”. 
  • June 2025. Guardian Capital. “Economic Outlook”.
  • May 2025. World Economic Forum. “Chief Economists Outlook”.
  • May 2025. OCBC Bank. “Weekly Macro Views (WMV)”.
  • April 2025. KPMG. “Navigating change: key trends in asset management”.
  • April 2025. KPMG. “Australia Economic Outlook Q12025”.
  • April 2025. BNY. “iFlow Quarterly Investor Trends Q1 2025 Staying Home?”
  • April 2025. Indonesia Stock Exchange. “Achieving Superior Performance through Synergy and Collaboration”.
  • April 2025. Providence Capital. “Uncertainty”.
  • March 2025. Grattan Institute. “Orange Book 2025”.
  • March 2025. RPIA. “Credit Market Themes in 5 ChartsQ1 2025”.
  • February 2025. MAPFRE. “Panorama económico y sectorial 2025”.

2024

  • December 2024. FTSE Russell. “Asset Allocation Insights Report”.
  • October 2024. RBC. “Economic Outlook and Investment Strategy”. 
  • October 2024. Techcombank. “Monthly Updates on Macroeconomics and Financial Market”.
  • October 2024. Scotiabank. “Global Week Ahead”. 
  • September 2024. KPMG. “UK Economic Outlook”. 
  • September 2024. ANIF – Centro de Estudios Económicos. “Mercado de capitales y perspectivas económicas”.
  • August 2024. MSCI. “Understanding Geopolitical Risk in Investments”.
  • May 2024. Moody’s. “Decoupling: Is the West Really Moving Away From China?”
  • February 2024. Deloitte. “On the Board’s Agenda: 5 Issues Testing Governance in 2024. Directors could benefit from applying an enterprise risk lens when discussing governance challenges across the geopolitical, economic, regulatory, and technology landscapes”.
  • January 2024. Oliver Wyman. “The Chemical Industry Outlook for 2004 and Beyond”. 

2023

  • October 2023. TBC Capital. “Weekly Equity Market Outlook”. 
  • October 2023. Econbrowser. “Policy Uncertainty over the Last Forty Years (Again)”.
  • October 2023. Deloitte. “NextGenerationEU Verso un sistema Paese innovativo, digitale e sostenibile”
  • October 2023. Mayer Brown. “Addressing Uncertainty in Outsourcing Contracting: Lessons Learned in Big Deals”. 
  • October 2023. MillerKnoll. “El espacio para aprovechar el cambio. Las organizaciones que aceptan el cambio obtienen una ventaja competitiva. El entorno laboral puede jugar un papel importante.”
  • August 2023. McKinsey. “The strategy leader’s evolving mandate”. 
  • July 2023. Deloitte. “Into the wind. Capabilities to navigate uncertainty”. 
  • June 2023. OMFIF. “Trade liberalisation is the solution to fiscal uncertainty”.
  • May 2023. Deloitte. “Banks: road to Exponential. Capacity for Change as the key boost towards superior performances”.
  • March 2023. DHL. “DHL Global Connectedness Index 2022 – An in-depth report on the state of globalization”. 
  • February 2023. State Street. “The End of an Era. Have We Entered a Great Transition?”
  • February 2023. Rabobank. “Balance of Payments -and Power- Crises”. 
  • January 2023. Chartered Institute of Internal Auditors. “Navigating geopolitical risk. Building resilience demands collaboration in a challenging world”.
  • January 2023. Alpha Bank. “The Global Economy 2023”. 
  • January 2023. Pricepedia. “Markets in wait-and-see mode”.
  • January 2023. Ernst & Young. “Why bank COOs need human-centered leadership to be successful”.
  • January 2023. Ogilvy Consulting. “The 2030 Forecast”. 
  • January 2023. Premia Partners. “End of Negative Yielding Bonds – What Lies Beyond”. 
  • January 2023. Economist Impact. “Balancing government budgets amid uncertainty”. 

2022

  • December 2022. Deutsche Bank. “CIO Insights. Resilience versus recession. Economic and investment outlook”. 
  • December 2022. Tortoise Media. “The Responsible100 Forum. At Waddesdon”. 
  • December 2022. Postbank. “Market & Opinion”. 
  • December 2022. Deutsche Bank. “Perspectives: The Investment Journal for Customers Deutsche Bank”. 
  • December 2022. Corficolombiana. “Perspectivas Economicas Corficolombiana. Proyecciones 2023: Todos por la economia”. 
  • December 2022. Momentum Investments. “Economic outlook: 12 crucial questions about the world in 2023”. 
  • November 2022. Macquarie Bank. “Investment Strategy Update #123”. 
  • November 2022. Momentum Investments. “A world with more fragility”.
  • November 2022. Motherson. “Investor Meet 2022”. 
  • October 2022. Maybank. “Investor Day 2022”. 
  • October 2022. Bangkok Bank. “WO: Economic Report”.
  • September 2022. Financial Health Network. “Financial Health Pulse® 2022 U.S. Trends Report”.
  • September 2022. Mundo Maritimo. “Índices mundiales miden factor de incertidumbre y su relación con crecimiento económico”.
  • July 2022. FGV IBRE. “Aumento da incerteza global e doméstica”.
  • June 2022. Lufthansa. “Air and Ocean Freight Outlook”. 
  • June 2022. Cato Institute. “Fueling Uncertainty. We need more refinery capacity but policy uncertainty makes companies less inclined to invest in new refineries or update old ones.” 
  • May 2022. Scotiabank. “Canadian Home Sales (April 2022): Housing News Flash”.
  • May 2022. The Globe and Mail. “Canada’s Best Managed Companies 2022”. 
  • May 2022. The Confederation of Norwegian Enterprise. “The value of stability”. 
  • May 2022. International Economics. “Rising Uncertainty and the Impact on Global Trade and Global Value Chains”.
  • April 2022. German Council on Foreign Relations. “Europe and Germany’s new coalition need a plan to restore European financial integration”.
  • April 2022. Bonn: German Development Institute. “Sustainable Global Supply Chains: Report 2022”.
  • April 2022. Natixis. “Russian Invasion Triggers Uncertainty Shock”. 
  • April 2022. UiPath. “Automation’s Value in the New Economy”.
  • April 2022. Bangkok Bank. “WO: Economic Report”.
  • January 2022. Knight Frank. “The Wealth Report”. 
  • January 2022. Econbrowser. “Foreign Direct Investment under Uncertainty”. 

2021

  • November 2021. Alvarez & Marsal (A&M). “GCs Discuss Key Issues On The Agenda For 2022 At Economist Impact’s 18th GC Summit”.
  • September 2021. Ernst & Young. “Why pandemic-induced trade protectionism will affect tax for years”. 
  • June 2021. DBS. “CIO Insights 3Q21: Hope into Reality”. 
  • June 2021. Thrive Global. “The Career Renaissance”.
  • May 2021. Global Trade Alert. “Advancing Sustainable Development With FDI. Why Policy Must Be Reset”. 
  • May 2021. Deloitte. “Chair of the Future: Accelerator of change”.
  • April 2021. Deloitte. “Putting digital at the heart of strategy. When everyone is digital, strategy is the differentiator”.

  • March 2021. Ernst & Young. “Business Revival: How you can plan with confidence for the unknown”.
  • March 20201. International Federation of Consulting Engineers. “Time to $Tn-vest!”.
  • February 2021. PwC. “South Africa’s economic outlook. What can Budget 2021 do to help?”
  • February 2021. Cerved Rating Agency. “Credit Outlook 2021: REConomics? Navigating uncharted waters…”
  • February 2021. Bellore Logistics. “Covid-19 – Market Outlook”.
  • January 2021. Institute of Risk Management. “Resilience, Risk & Recovery”.
  • January 2021. Investec. “Production note”.
  • January 2021. Bangkok Bank. “WO: Economic Report”.

2020

  • December 2020. Charles Schwab. “Top Five Global Investment Risks In 2021”.
  • December 2020. Northern Trust. “New Stories in New Data”.
  • December 2020. Common Market for Eastern and Southern Africa. “Implication of COVID-19: Pandemic on Debt for Sub-Saharan African Countries”.
  • December 2020. Savills. “German property market outlook”.
  • November 2020. PwC. “Asia Pacific’s Time: We must act now”.
  • October 2020. TradeVistas. A World of Trade Uncertainty.
  • October 2020. Grant Thornton. Tax webinar: What happens on 1 January 2020?
  • October 2020. Quintet. “Hitting a speed bump: The global economic recovery is heading into a more challenging period, but don’t despair”.
  • September 2020. European Investment Fund. “European Small Business Finance Outlook 2020: The impact of COVID-19 on SME Financing markets”.
  • September 2020. Ernst & Young. “Healthcare goes mobile: Evolution of teleconsultation and e-pharmacy in new Normal”.
  • September 2020. Deloitte. “Uncertainty and innovation at speed”.
  • August 2020. Nasser Saidi & Associates. “Weekly Insights 31 Aug 2020: Pandemic, Trade & New Beginnings”.
  • August 2020. Dun & Bradstreet. “Beyond the Pandemic: The Next Normal for MSMEs”.
  • August 2020. Deutsche Bank. “New Growth Realities”.
  • August 2020. Deutsche Bank. “Experts In-House: CIO View on 2020 and beyond”.
  • August 2020. Systemic Risk and Systemic Value. “Measures of market risk and uncertainty”.
  • July 2020. Vanguard. “Vanguard economic and market outlook: Forecasting in the time of coronavirus”.
  • July 2020. Valenciaport. “Informe Trimestral de Entorno Económico”.
  • June 2020. Citi. “Mid-Year Outlook 2020: A Changed World — Investing in the New Cycle”.
  • June 2020. TD. “Monthly Perspectives”.
  • June 2020. TD. “The Post-Pandemic Global Economy: A Framework for Navigating Choppy Waters”.
  • June 2020. CSBS. “U.S. Economic Update”.
  • May 2020. Coface. “World trade: despite a sudden interruption, global value chains still have a bright future”.
  • May 2020. Caetella. “Catella: Implications COVID-19 on the Real Estate Markets”.
  • May 2020. CapTech. “COVID-19’s Impact on Financial Institution Customers: Understanding customer preferences and preparing for a new banking paradigm”.
  • May 2020. Oliver Wyman. “COVID-19’s impact on the US debit market”.
  • May 2020. Ernst & Young. “Now, Next and Beyond: Auto factory of the future. How automotive shop floors will evolve and adopt digital technologies post Covid-19?”
  • May 2020. WNS DecisionPoint. “COVID-19: The Highs & Lows for the Insurance Industry. Analytics will be Key to Designing New Policies”.
  • May 2020. IBM. “Expanding innovation: It takes an ecosystem”.
  • May 2020. Atlantic Council. “Can we compare the COVID-19 and 2008 crises?”
  • April 2020. Institute for Economic Policy Research. “Expecting a quick economic recovery? Don’t hold your breath”.
  • April 2020. Erste Group. “CEE Macro and FI Daily: Highly uncertain times”.
  • April 2020. Islamic Markets. “How the Global Economy Should Respond to COVID-19?”.
  • April 2020. Instituto Español de Analistas Financieros. “THE EURO IN 2020: A Yearbook on the European Monetary Union”.
  • April 2020. Valenciaport. “Entorno Economico Global – Primer trimestre 2020”.
  • April 2020. Workstream. “Mitigating the Impact of Coronavirus Crisis on the Manufacturing Industry”.
  • April 2020. The World Savings and Retail Banking Institute. “COVID-19: Worldwide Policy Responses and Initiatives”.
  • April 2020. Los Angeles County Economic Development Corporation. “COVID-19 Economic Implications Briefing”.
  • April 2020. Global Policy. “Doing Whatever it Takes: Understanding the COVID-19 Stimulus Calculus”.
  • April 2020. SINCOVAGA. “Efeitos das pandemias na economia: da gripe espanhola ao Covid-19”.
  • April 2020. Findes. “Economia e Indústria em tempos de pandemia”.
  • April 2020. Atlantic Council. “Can we compare the COVID-19 and 2008 crises?”.
  • April 2020. AlixPartners. “Disruption Insights: Disruption is the new economic driver”.
  • April 2020. Motilal Oswal. “Market Snapshot”.
  • March 2020. Ernst & Young. “In times of uncertainty, play it safe or double down?”
  • March 2020. Knight Frank. “Differentiating geopolitical narratives and economic data”.
  • March 2020. Knight Frank. “The Wealth Report 2020”.
  • February 2020. Cato Institute. “Tariffs and Monetary Policy: A Toxic Mix”.
  • February 2020. Laurentian Bank Securities. “Tactical Asset Allocation (Feb. Update): The Coronavirus Starts to Destabilize the Economy but not Equities”.
  • January 2020. Istat. “Monthly Report: On the Italian Economy”.
  • January 2020. International Growth Centre. “Supply chain trade in East Africa: Prospects and Challenges”.
  • January 2020. Atlantic Council. “At the beginning of 2020, what are the global risks and growth prospects for the Euro Area?”
  • January 2020. Ernst & Young. “How do you reshape today to reinvent your tomorrow?”.
  • January 2020. GIC. “Investing for the Long Term: GIC’s Three Guideposts”.
  • January 2020. Valenciaport. “Entorno Economico Global – Cuarto trimestre 2019”.
  • January 2020. Amundi Asset Management. “Global Investment Views”.
  • January 2020. Material, Handling & Logistics. “Retail Imports Settling Down After Year of Tariff Surges”.

2019

  • December 2019. Amundi Asset Management. “Cross Asset Investment Strategy”.
  • December 2019. Prevedere. “2020 Global Economic Outlook”.
  • December 2019. Fundación Chilena del Pacífico. “Perfiles Económicos Asia Pacífico 2019”.
  • December 2019. Korea Capital Market Institute. “Global Economic Uncertainty and the Neutral Rate of Interest: Monetary Policy Directions”.
  • December 2019. Banco BPI. “Economia Internacional”.
  • December 2019. CBRE. “Demographics and Real Estate Demand”.
  • December 2019. Rabobank. “Global Beef Trade into the 2020s: Navigating a Rising Sea of Uncertainty”.
  • December 2019. GIC. “Finding the Middle Ground – 2019 Summary Report”.
  • November 2019. UniCredit. “The UniCredit Macro & Markets 2020-21 Outlook”
  • November 2019. CaixaBank. “Perspectivas económicas 2020”.
  • November 2019. CaixaBank. “Uncertainty erodes the global expansion”.
  • November 2019. Banco de Bogota. “Desaceleracion Global y Desafios Macrofiscales de la Economia Colombiana 2019-2020”
  • November 2019. PwC. “Currency volatility is a sure bet”.
  • November 2019. Institute for Economic Policy Research. “Tracking the global mindset of uncertainty”.
  • October 2019. Economic Perspectives. “Dealing with higher uncertainty”.
  • October 2019. Eurobank. “Global & Regional Monthly”.
  • October 2019. Guggenheim Partners. “Trade Wars Are Easy to Win …or Are They?”.
  • October 2019. Macro Matters. “Marking the Trump card: how we quantify political risk”.
  • October 2019. UOB Group. “UOB House View”.
  • October 2019. Goldman Sachs. “Top of Mind: Growth and Geopolitical Risks”.
  • October 2019. Fortis Wealth. “Topley’s Top Ten – October 16, 2019”
  • October 2019. Grant Thornton. “Economic Overview”.
  • October 2019. Ulster Economix. “Peak Uncertainty”.
  • October 2019. Royal Bank of Canada. “Is another trade dispute coming?”
  • October 2019. Knoema. “World Trade Uncertainty Weighing On Global Growth”.
  • October 2019. Nuveen. “Global Investment Committee Outlook 4Q | 2019 Update”.
  • September 2019. Global Trade Magazine. “Trade and the impact on imports and exports in 2020”.
  • September 2019. Mizuho. “Mizuho Economic Outlook & Analysis”
  • September 2019. Ned Davis Research Group. “NDR Global Allocation Strategy”.
  • September 2019. United Capital. “Heatwaves in August: Trade War Escalates, Uncertainty Rises”.
  • September 2019. International Organization for Standardization. “Four trends will impact ISO’s future strategy”.
  • September 2019. Vanguard. “How big a rate cut? Fed takes uncertainty into account”.
  • September 2019. Braver Capital Management. “What’s on Tap: Stock Markets Meander Near Record Highs”.
  • September 2019. Soltis Investment Advisors. “Economic & Investment Outlook”.
  • September 2019. deVere Group. “IMF: U.S.-China tariffs could lower GDP by 0.8% in 2020”.
  • August 2019. GIC. “GIC Insights 2019 – Opening Remarks by GIC CEO Lim Chow Kiat”.
  • July 2019. Frame Global Asset Management. “Q3 2019 Outlook”.
  • April 2019. S&P Global Market Intelligence. “Global economic uncertainty climbing sharply, IMF economists’ new index finds”.