Quarterly Country Risk Report. January 2012
Published on Tuesday, January 31, 2012 | Updated on Sunday, May 13, 2018
Quarterly Country Risk Report. January 2012
Summary
Financial stress increased rapidly in the fourth quarter as the European sovereign debt crisis remained unresolved. Stress levels increased in emerging markets.
Geographies
- Geography Tags
- Global
Topics
- Topic Tags
- Macroeconomic Analysis
- Consumption
- Real Estate
- Migration
- Banks
Authors
BBVA Research
BBVA Research
Documents and files
Presentation (PDF)
Country_Risk_Quarterly_Report_Jan2012_SP_tcm346-286043.pdf
Spanish - January 31, 2012