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    Published on Monday, April 11, 2016

    A fragile improvement in markets

    Summary

    The global scenario was shaped, during the first two months of 2016, by the drop in riskier assets, such as equity markets, corporate and bank bonds in markets across the globe and all types of assets in the emerging markets.

    Geographies

    Topics

    Authors

    Julián Cubero BBVA Research - Lead Economist

    Documents and files

    Press article (EPUB)

    67403_121351.epub

    Spanish - April 11, 2016

    Press article (PDF)

    67403_121351.pdf

    Spanish - April 11, 2016

    Press article (EPUB)

    67411_121429.epub

    English - April 11, 2016

    Press article (PDF)

    67411_121429.pdf

    English - April 11, 2016

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