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

Economy / Venezuela

Bond And FX Views Playing Out

December 2009 | Market Strategy

Our long-held view that investors have underpriced the risks of policy-induced turbulence in Venezuela have been vindicated this week, with a significant sell-off in the country's bonds and the parallel exchange rate following President Hugo Chávez's rants about the failings of the banking sector. In line with our call the yield on the benchmark

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