Global Coverage

Our Coverage

47 markets. 6 regions. Primary research depth across commodity markets, emerging economies, and global capital flows.

47
Markets
6
Regions
12
Sectors
200+
Primary Sources Per Report

Global Presence

New York London Singapore
Active Coverage (47 markets)
Adjacent Market Monitoring
Research Office

Coverage by Region

Sub-Saharan Africa

12 markets

Markets Covered

DRCZambiaGhanaTanzaniaNigeriaMozambiqueZimbabweBotswanaKenyaEthiopiaCôte d'IvoireNamibia

Key Sectors

MiningAgricultureInfrastructure

Crestmore's flagship region. Deep expertise in mineral wealth governance, artisanal and small-scale mining dynamics, and agricultural commodity supply chains across 12 markets.

Latin America

9 markets

Markets Covered

ChilePeruBrazilColombiaMexicoArgentinaBoliviaEcuadorParaguay

Key Sectors

Copper MiningLithiumAgricultureCapital Markets

Leading coverage of Latin American lithium basins, copper supply dynamics, and regional capital market evolution. Primary focus on commodity export-driven economies.

Middle East & North Africa

8 markets

Markets Covered

Saudi ArabiaUAEEgyptMoroccoAlgeriaKuwaitQatarJordan

Key Sectors

EnergySovereign FinanceTrade Routes

Comprehensive energy and sovereign debt analysis. Coverage includes oil/gas markets, renewable energy policy frameworks, and critical geopolitical chokepoints.

Central & Eastern Europe

7 markets

Markets Covered

PolandCzech RepublicRomaniaUkraineHungarySerbiaCroatia

Key Sectors

ManufacturingAgri-inputsCapital Flows

Emerging industrial hub coverage. Focus on manufacturing capacity, agricultural input supply chains, and post-pandemic capital flow reorientation.

South & Southeast Asia

7 markets

Markets Covered

IndiaIndonesiaPhilippinesVietnamMalaysiaBangladeshSri Lanka

Key Sectors

Critical MineralsManufacturingCapital Flows

Fastest-growing regional coverage. Emphasis on battery material supply chains, manufacturing migration, and emerging market capital dynamics across ASEAN and South Asia.

North America & Western Europe

4 markets

Markets Covered

USACanadaUKGermany

Key Sectors

Capital MarketsCorporate M&ARegulatory Frameworks

Selective coverage of developed markets focused on institutional demand for commodity price forecasts, regulatory impacts, and macroeconomic drivers of commodity cycles.

Coverage by Sector

Copper & Base Metals

Active since 2009

18
Markets
47
Reports

Key Coverage Areas

  • Supply-demand forecasting with 10-year horizon
  • Smelting and refining capacity analysis
  • End-use trends across construction, automotive, power sectors
  • Price modeling and scenario analysis
  • Mining cost curves and operational risk

Precious Metals

Active since 2010

12
Markets
28
Reports

Key Coverage Areas

  • Central bank accumulation dynamics
  • Jewelry demand cycles and regional trends
  • Industrial applications and tech demand
  • Mining cost inflation and margin compression
  • Geopolitical drivers of safe-haven demand

Energy Transition Minerals

Active since 2018

22
Markets
52
Reports

Key Coverage Areas

  • Critical minerals supply chain mapping
  • Battery material bottleneck analysis
  • Net-zero policy implications and timelines
  • Processing and refining capacity constraints
  • Geopolitical concentration risks

Agricultural Commodities

Active since 2011

15
Markets
35
Reports

Key Coverage Areas

  • Grain supply dynamics and harvest forecasts
  • Protein markets and feed demand
  • Climate risk assessment and production volatility
  • Trade corridor analysis and logistics
  • Policy interventions and export restrictions

Capital Flows & FX

Active since 2012

28
Markets
31
Reports

Key Coverage Areas

  • Emerging market capital flow trends
  • Currency regime analysis and intervention
  • Cross-border investment patterns
  • Commodity price transmission to FX
  • Capital control frameworks and enforcement

Country Risk

Active since 2008

47
Markets
68
Reports

Key Coverage Areas

  • Political economy analysis and risk frameworks
  • Sovereign debt dynamics and refinancing risk
  • Regulatory environment and change agents
  • Expropriation and contract enforcement
  • Fiscal sustainability and institutional capacity

Macro & Rates

Active since 2013

35
Markets
44
Reports

Key Coverage Areas

  • Macroeconomic cycle positioning
  • Central bank policy implications
  • Real interest rate frameworks
  • Inflation dynamics and commodity correlations
  • Recession risk and asset allocation implications

Freight & Logistics

Active since 2015

8
Markets
22
Reports

Key Coverage Areas

  • Shipping cost dynamics and vessel supply
  • Port congestion and infrastructure bottlenecks
  • Trade corridor logistics and alternative routes
  • Supply chain disruption impacts
  • Energy cost impacts on transportation

Coverage Methodology

Primary Research Threshold

We do not publish coverage without direct field access, operator interviews, or government official engagement. No generic secondary synthesis.

Dedicated Analyst Model

Each major market or sector is assigned a single senior analyst with accountability for accuracy, consistency, and regional knowledge depth.

Minimum Coverage Commitments

Every market under coverage receives at least quarterly comprehensive analysis. High-volatility markets receive fortnightly or monthly briefings.

Independent Editorial Process

Research is peer-reviewed by senior analysts before publication. A Research Standards Committee oversees methodology compliance and independence.

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Interested in a Specific Market or Sector?

Contact our research team to discuss custom analysis, commissioned research, or coverage expansions.