This study focuses on sectors in which financial instruments have been under-utilised in the 2014-2020 programming period. The reasons for this are considered and potential investment opportunities for the 2014-2020 programming period are identified. The report also identifies sectors where new investment opportunities are expected to arise in the future. The report goes on to consider the scope to expand financial instruments in these sectors in the short and medium-term, including in the 2021-2027 programming period.
This case study forms part of the fi-compass Stocktaking study on financial instruments by sector.