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3 articles tagged Sovereign Debt.
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An analysis of the shift toward energy sovereignty, the resilience of 'hard luxury' brands versus conglomerates, and the emergence of 'BIF' countries as new sovereign debt risks in Europe.
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Kevin Walsh's Fed nomination triggers global market volatility, while Barclays recommends buying Argentine bonds. Analysis of Argentina's liquidity management, inflation expectations, and sovereign debt opportunities in a shifting macroeconomic landscape.
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Argentina's risk premium hits an eight-year low as Ecuador's successful bond issuance signals robust emerging market demand. The analysis covers sovereign debt refinancing strategies, Wall Street record highs, and the critical impact of cybersecurity on SME survival in Latin America.