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Find all the economic and financial information on our Orishas Direct application to download on Play StoreOn Friday, the global rating agency S&P raised the Ghana's sovereign note in foreign and local currencies, increasing it from “CCC+/C” to “B-/B”, due to the strengthening of the balance payments and the country's budgetary positions.
The stable outlook balances the potential of a
better balance-of-payments performance and improvements in
Ghana's fiscal performance thanks to ongoing spending reforms, in the face of
debt service costs remain high, with the risks associated with debt implementation
works for reforms and Ghana's sensitivity to terms of trade, such
that the prices of gold and cocoa, which were exceptionally favorable to
over the past year.
This improvement reflects the gradual strengthening of
Ghana's balance of payments and public finances, supported by a
sustained economic growth and favourable terms of trade, in particular
with regard to gold and cocoa prices — main products
exports from Ghana — which together represent more than 60% of
merchandise exports.
Although it is not the
base scenario, S&P points out that the
Rating could be put to the test if debt restructuring
The remainder is stuck, potentially due to disagreements between different
groups of creditors from Ghana on the comparability of principles and
treatment conditions that they receive as part of the process of
restructuring of the G20 Common Framework.
Moreover, fiscal reforms are not the case only at their beginnings and have therefore not yet been put to the test by the cycles electoral events, which creates the risk of fiscal slippage
until 2028.
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