Germany · Country Risk Monitor

Economic stability intelligence based on macroeconomic stability, fiscal resilience, inflation, growth, external balance and labour market conditions.
COUNTRY: Germany
ISO3: DEU
REGION: Europe
CURRENCY: EUR
GENERATED: 2026-06-17 23:41 UTC
Economy Data · Country Risk Rating
Germany — A · Low risk
Prototype composite score based on 6 macroeconomic pillars. This analytical rating is not a credit rating. Political risk and institutional quality are planned for the next model iteration.
A
77.5/100
Low risk
GDP growth 40 wt 20% · cache
Inflation 95 wt 15% · cache
Government debt 90 wt 15% · cache
Unemployment 90 wt 10% · cache
Current account 85 wt 15% · cache
Foreign reserves 90 wt 5% · cache

Latest values · Germany

6 indicators
-0.5 % Latest: 2024
2.3 % Latest: 2024
20.9 % Latest: 1990
3.7 % Latest: 2025
5.8 % Latest: 2024
377.94 bn Latest: 2024

Historical · GDP Growth

NY.GDP.MKTP.KD.ZG
Germany
GDP growth: cache Inflation: cache Government debt: cache Unemployment: cache Current account: cache Foreign reserves: cache

Rating methodology

6-pillar model
Component Weight Latest value Unit Score /100
GDP growth 20% -0.5 % 40
Inflation 15% 2.3 % 95
Government debt 15% 20.9 % of GDP 90
Unemployment 10% 3.7 % 90
Current account 15% 5.8 % of GDP 85
Foreign reserves 5% 377.94 bn USD 90

The model maps 0–100 composite scores to letter ratings (AAA–D). Political risk, institutional quality and FX volatility are planned for the next phase.

Risk diagnosis

rule-based
Strengths
  • Comparatively stable price environment
  • Manageable public debt position
  • Stable external balance
  • Resilient labour market
Risks
  • Weak or volatile growth dynamics

Diagnosis is rule-based and should be reviewed before use in investment, export or credit decisions.

Prototype risk scale

AAA → D
AAA
AA
A
← current
BBB
BB
B
CCC
CC
D

Country metadata

DEU
Name Germany
ISO3 DEU
Region Europe
Currency EUR
Composite score 77.5/100
Rating A
Risk level Low risk