Kenya Risk Analysis Report (Monthly)
Kenya Risk Analysis Report is published every month to enable investors to stay aware about some of the new, recurring and future risks in the country.
Parameters that are tracked include: politics, terrorism, crime, energy, food situation, financial markets, national debt situation, mining, infrastructure, inflation, regulatory environment, geopolitics among others. Subscribers can request inclusion of additional parameters based on their needs.
Our reports go beyond the normal analysis to answer the 'So What?' questions.
Additional services on offer are; regulatory reviews and advisories, document verification, reputation due diligence and editorial support services.
Generated from in-depth open source research, interviews with industry leaders and scholars. Provides the best possible reality and scenarios for Kenya.