AEI Intelligence provides primary-sourced research, sovereign analysis, and macroeconomic intelligence for investors, financial institutions, and policymakers operating across Africa.
Information is abundant. Decisions require intelligence. We transform primary-source data into rigorous market analysis, delivering evidence-based insights that help institutional investors, financial institutions, and policymakers navigate African markets with confidence.
Every insight is built from official government documents, central bank publications, corporate filings, and regulatory disclosures.
Purpose-built for Africa's political, macroeconomic, and investment landscape rather than adapted from global models.
We transform complex economic developments into decision-ready insights for investors and executives.
Every publication follows a structured editorial and analytical review process before release.
A structured analytical publication — published every 10 to 14 days across three research tracks. Primary-sourced. Editorially reviewed. Built to the standard of the world's leading economic intelligence platforms, for African markets specifically.
Access the BriefHow Ghana's GH¢96.28 Billion Negative Equity Coexists with Disinflation Success
DFIs and MDBs monitoring sovereign creditworthiness, fiscal-monetary risk, and programme compliance across African markets.
Asset managers, pension funds, sovereign wealth funds, family offices, and investment committees seeking decision-relevant intelligence across African markets.
PE and VC investors tracking country risk, regulatory environments, and macroeconomic conditions across target markets.
SWFs with African sovereign exposure requiring structured analysis of debt sustainability, reserve dynamics, and fiscal consolidation paths.
Banks, insurers, and financial services firms monitoring economic trends, regulatory developments, credit conditions, and market risk.
Public sector agencies, policy teams, central bank observers, economists, and research institutions evaluating economic performance and reform trajectories.
Central bank balance sheets, fiscal-monetary dynamics, IMF programme mechanics, and sovereign creditworthiness — with explicit investor implications.
Structured data tables and charts sourced directly from audited financial statements, statistical releases, and official regulatory filings.
Central bank policy actions, IMF programme transitions, legislative change, and sovereign debt restructuring with forward-looking risk assessment.
Each brief closes with an explicit risk scenario — primary counter-arguments, tail risks, and stress-test parameters for institutional modellers.
For institutional subscriptions, research partnerships, bespoke briefs, or early access to AMIS — contact us directly. We respond to every institutional enquiry.