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    Published on Wednesday, September 17, 2014 | Updated on Thursday, September 25, 2014

    Country Risk Quarterly Report Third Quarter 2014

    Summary

    Global financial appetite remained in the Financial Markets during a second consecutive quarter supported by the stand by in US monetary policy and the soft stance by the ECB. Financial tensions have continued declining, specially in emerging markets, and sovereign risk premia are stable at very low historical levels in both developed and emerging markets (EM).

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    BBVA Research BBVA Research

    Documents and files

    Report (PDF)

    Country Risk Quarterly Report Public Version Q3-14 eng

    English - September 17, 2014

    Report (PDF)

    Country Risk Quarterly Report Public Version Q3-14 esp

    Spanish - September 17, 2014

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