Question: Please write 3-4 sentences for each question.
It is easy for find the data on each country's equity risk and country risk premium - Country Default Spreads and Risk Premiums.
Please note you DON'T need to calculate the country risk premium, instead, please discuss the following two questions:
1. What is the implication of this data, i.e. which country has the highest default rate, and which country has the highest country risk premium? Why?
2. If you are an investor interested in Global Equity Portfolio, which two, or three countries will you choose? Why? What's the weight (by percentage) you are going to allocate to each country's stock?
Attachment:- Assignment File.rar