Analysis and market intelligence on fixed income, forex and equities in Asia, EMEA and Latin America

Economy

Global Risk Aversion Hitting Regional Equities

August 2011 | Market Strategy

In line with our neutral view towards Latin American equity markets, events in the US and the ongoing Eurozone sovereign debt crisis have significantly affected global investors' risk appetite in recent trading. As the fresh bout of global risk aversion continues to drag on the region's equity markets, we believe there is still further downside to come and are maintaining our cautious outlook for Latin equities in the near term.

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