Country Risk: Determinants, Measures and Implications - The 2026 Edition @AswathDamodaranonValuation
Country Risk: Determinants, Measures and Implications - The 2026 Edition  @AswathDamodaranonValuation
Uploaded July 2026 | Updated September 2026, 1 week ago
Since 2008, every year, in addition to posting updated data on equity risk premiums, I have done two update papers each year. I write the first, on equity risk premiums, in March of each year, and the second, on country risk, in July. These papers are catch-all publications, reflecting everything that I know or have learned about each of these topics, mostly in the process of having to deal with them in corporate financial analysis and valuation. As a consequence, these are written for practitioners, not academics, and they are driven by pragmatism, not purity. My latest country risk update (for 2026) is now accessible and you can download the paper, if you are interested, at the link below:
papers.ssrn.com/sol3/papers.cfm?abstract_id=7107638
In this session, I summarize the paper, starting with the drivers of country risk - politics, corruption, exposure to violence and the strength of the legal system - before moving on to measures of country risk - sovereign ratings and CDS spreads for default risk, country risk scores and country equity risk premiums. I also talk about how these country equity risk premiums come into play when valuing companies as well as in estimating project hurdle rates in corporate finance. I close with a discussion of currencies, and why done right, valuations should be currency invariant.
Slides: https://pages.stern.nyu.edu/~adamodar/pdfiles/blog/countryrisk2026.pdf
Blog Post: aswathdamodaran.blogspot.com/2026/07/country-risk-drivers-measures-and.html
Paper: papers.ssrn.com/sol3/papers.cfm?abstract_id=7107638
Data:
1. Country equity risk premiums: https://pages.stern.nyu.edu/~adamodar/pc/datasets/ctrypremJuly26.xlsx
2. Riskfree rates, based on expected inflation: https://pages.stern.nyu.edu/~adamodar/pc/blog/DiffInflationRiskfree26.xlsx
Country Risk: Determinants, Measures and Implications - The 2026 EditionChapter/Session 17: Investing in DeclineChapter/Session 14: Investment Philosophies 101Session 9 (of 42): Random Walks and MomentumChapter/Session 1: The Search for a Unifying TheorySession 13: Dealing with uncertainty and more project analysesSession 31 (of 42): Market Timing - Non-financial and technical indicatorsData Update 6 for 2026: In Search of Profitability and Value!Chapter/Session 3: The Corporate Life Cycle - Measures and DeterminantsSession 28 (of 42): Close Enough - Near ArbitrageSession 34 (of 42): Market Timing - Does it work?Data Update 2 for 2025: The Party Continued for US Equities
Aswath Damodaran |

Country Risk: Determinants, Measures and Implications - The 2026 Edition

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