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    Published on Friday, March 2, 2018

    Country Risk Quarterly Report. First Quarter 2018

    Summary

    Following the recent turmoil in equity markets during February, we have observed a decoupling of different Global Risk Aversion (GRA) indicators. Markets seem to be giving much less value to the risk accounted for sovereign ratings. The tightening of sovereign spreads (CDS) is outstanding.

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    Authors

    BBVA Research BBVA Research

    Documents and files


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    Report (PDF)

    Country-Risk-Quarterly-Report-Eng

    English - March 2, 2018

    Report (PDF)

    Country-Risk-Quarterly-Report-Esp

    Spanish - March 2, 2018

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