Published on Tuesday, December 17, 2013

Informe Trimestral de Riesgo País. Diciembre 2013

Summary

Los mercados continúan adaptándose a la potencial retirada de los estímulos por parte de la Reserva Federal a través de un continuo reequilibrio en las carteras internacionales

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Authors

BBVA Research BBVA Research

Documents and files


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Report (PDF)

1312_Informe_Trimestral_Riesgo_Pais_tcm346-415880

Spanish - December 17, 2013

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