In the third quarter of 2003, investors continued to favor riskier assets buoyed by abundant global liquidity, low interest rates in mature...
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In the first half of 2003, emerging debt markets rallied, as disillusionment with equities, geopolitical concerns, and doubts about growth...
In the second quarter of 2002, conditions in global financial markets worsened as investor confidence deteriorated and risk aversion heightened....
With the first signals of a global economic recovery, prospects for private capital flows to emerging markets improved in the first quarter of...
The emerging markets debt class entered 2003 in sound shape. Similar to 2002, emerging markets debt finished the first quarter of 2003 as the top...
The fourth quarter of 2002 saw an increase in investor optimism, especially in October and November. The combination of declining risk aversion...
Events in Argentina dominated most of the third quarter of 2001 until September 11, when the terrorist attacks against the United States...