Finding value in frontier market sovereigns
In this webinar we will discuss which frontier markets are likely to default next year, and which have the capacity to keep servicing their debt and thus offer value to investors. We will also offer country-specific insights on Ecuador, El Salvador, Egypt, Ukraine and others.

Evghenia Sleptsova
Senior EM Economist
+44 (0) 203 910 8022

Evghenia Sleptsova
Senior EM Economist
London, United Kingdom
Evghenia is part of the Global Emerging Markets Research team, where she manages the workflow on our global risk frameworks – Sovereign, currency and banking sector risk tools, and covers Ukraine as a macroeconomist. Evghenia has over 15 years of research and consulting experience in macroeconomics, country and sovereign risk analysis and international trade. In her earlier career, she covered Russia, CIS and CEE, as well as global risk products. Evghenia worked at Roubini Global Economics, London, at KPMG and European Commission Delegation (Moldova), and Institute for Economic Research and Policy Consulting (Ukraine).

Sergi Lanau
Director of Global Emerging Markets Strategy

Sergi Lanau
Director of Global Emerging Markets Strategy
London, United Kingdom
Sergi’s research focuses on emerging and frontier markets. He joined Oxford Economics in 2023. He previously worked on emerging markets and the eurozone at the Institute of International Finance and IMF. He began his career at the Bank of England.
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