November 2015

GCC Liquidity Fall – Impact on Banks, Stock Market and Debt Market

Economy Research Reports

Pages : 23
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Executive Summary

2015 marks as one of the worst lows in terms of oil prices and oil revenues, the backbone on which most of the GCC economies ride. After clocking more than a trillion dollars annually in export revenues during the period 2012-2014, GCC economies will witness a 23% fall in export revenues in 2015 mainly driven by Saudi Arabia. Kuwait export revenues will likely fall by 35% followed by Saudi Arabia at 33%. Such a drastic fall in revenues will likely trigger a liquidity fall and will impact several sectors of GCC. This report analyses the impact of falling GCC liquidity on three important segements i.e., banks, stock markets, bond markets and policy options available to cruise through the situation.

Table of Content

Key Questions Addressed in this report

  • What are the developments in GCC on the ¬nancial liquidity front?
  • How would it impact a) Banking systems, b) Equity Markets, c) Bond Markets
  • What are the available policy tools to tackle the situation?

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Executive Summary

Table of Content

Key Questions Addressed in this report

This report can add value to

Customize this report

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