A macroeconomic view on Argentina’s current state
In Argentina, market volatility has been driven higher over the last 18 months due to rising debt, persistent inflation and a prolonged recession. In addition to these economic despairs, currency weakness and political uncertainty related to the upcoming presidential elections have investors on edge. Tensions between politics, macroeconomic factors, and the markets demonstrate that Argentina is at an important inflection point. Evident recovery drivers In March, Argentina received its third instalment... Читать дальше...