This document analyzes the country risk of the United Arab Emirates (UAE). It begins with an overview of the UAE, its economy, and its heavy reliance on oil and gas. The oil and gas sector in Abu Dhabi and Dubai is then discussed in depth. The impact of the 2008 economic crisis on the UAE's GDP and Dubai's financial position is examined. Finally, the types of risks facing investments in the UAE are identified, including sovereign, currency, financial, banking, political, and economic structure risks. The sovereign risk rating for the UAE was decreased to "Stable" from "Positive" due to the Dubai World crisis.