Published on Friday, May 20, 2016 | Updated on Friday, May 20, 2016

Flows & Assets Report: Flow reallocation back to EM. Second Quarter 2016

Summary

Global risk aversion receded in Q1 2016 in a context of still volatile markets. The return of risk appetite was attributable to stabilization signs in China, the rebound in oil prices and the continued support of Developed Markets' central banks.

Geographies

Authors

Sara Baliña
Sonsoles Castillo BBVA Research - Chief Economist for Financial and Economic Analysis
Julián Cubero BBVA Research - Lead Economist
Gonzalo De Cadenas Santiago
Álvaro Ortiz BBVA Research - Head of Analysis with Big Data
Cristina Varela BBVA Research - Principal Economist

Documents and files


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Report (PDF)

Flow_and_Assets Report_Q22016_vf-1

English - May 20, 2016

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