About
About EQLID
An independent research publication covering sovereign risk, public finances and fixed-income markets worldwide.
EQLID is an independent research publication covering sovereign risk, public finances and fixed-income markets worldwide. Through essays, research notes, charts and conversations, it examines countries’ capacity to repay debt, the forces shaping bond markets and the implications for investors.
The author, Dmitriy Frolovskiy, is a Toronto-based writer and researcher. His analysis has been published or featured by Foreign Policy, the Carnegie Endowment for International Peace, the Middle East Institute, the Lowy Institute, The Globe and Mail, the C.D. Howe Institute and the EU Institute for Security Studies, among others.
His work has been cited in research from RAND, Harvard’s Belfer Center and the NATO Defense College Foundation.
Education
- MA, University of Toronto (High Distinction)
- BS, Georgetown University School of Foreign Service (Cum Laude)
Research notes
Each note states what changed, why it matters for sovereign risk and debt markets, the evidence, the countercase and what would change next.