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    Published on Tuesday, March 12, 2019 | Updated on Friday, March 15, 2019

    Country Risk Quarterly Report. First Quarter 2019

    Summary

    Global Risk Aversion experienced high volatility during the quarter, which was reflected mainly in equity markets, but not in sovereign CDS or emerging currencies markets. The improvement seen since the beginning of the year was favoured by the Fed's announcement of a more patient stance in its interest rate policy.

    Geographies

    Authors

    Julián Cubero BBVA Research - Lead Economist
    Alfonso Ugarte BBVA Research - Principal Economist

    Documents and files

    Report (PDF)

    Country-Risk-Quarterly-Report-Eng_

    English - March 12, 2019

    Report (PDF)

    Country-Risk-Quarterly-Report-Esp_

    Spanish - March 12, 2019

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