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Published on Thursday, June 18, 2015 | Updated on Tuesday, June 23, 2015

Country Risk Report. Second Quarter 2015

Summary

Calmer situation in financial markets during the quarter. Some stress in exchange and interest rates is accumulating. Geopolitical risks are still alive even though markets are ignoring them. Portfolio Flows trending down below long-run levels. Re-allocation continues but differentiated and mild.

Geographies

Topics

Documents and files

Report (PDF)

Country Risk Quarterly Report Public Version Eng_June 2015

English - June 18, 2015

Report (PDF)

Country Risk Quarterly Report Public Version Esp

Spanish - June 18, 2015

Authors

AU
Alfonso Ugarte BBVA Research - Principal Economist
�O
Álvaro Ortiz BBVA Research - Head of Analysis with Big Data
TR
Tomasa Rodrigo BBVA Research - Lead Economist
GD
Gonzalo De Cadenas Santiago
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