Published on Tuesday, March 18, 2014

Country Risk Quarterly Report - March 2014

Summary

The focus of markets seems to have switched from the fears to the FED’s tapering to more idiosyncratic factors; The downward trend in risk premia of most developed markets have continued;

Geographies

Topics

Authors

BBVA Research BBVA Research

Documents and files


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Report (PDF)

140300_Country_Risk_Quarterly_Report_Public_Version_Q1-14_EN_tcm348-431692

Spanish - March 18, 2014

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