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Asean’s Split Sentiment Sentry

ASEAN’s main stock markets were mixed heading into the first quarter close, with Thailand and Malaysia at the front with ...

Sovereign Debt’s Testing Trillion Dollar Trill

With $150 billion in annual issuance the last two years external sovereign hard currency size has passed $1 trillion, and ...

Egypt’s Secure Election Sieve

Egypt’s February external bonds were again oversubscribed, with the 30-year yield falling below 8%, ahead of the end-March election where ...

Iran’s Convulsive Currency Crux

The Tehran Stock Exchange was on track to close the end-March fiscal year with a 25% gain in local index ...

Trade Wars’ Tactical Retreat Cry

Early year stock and bond returns paused their extended double digit momentum as the US administration revisited trade conflict fears ...

Latin America’s Ineluctable Election Elevation

Financial markets in Argentina, Brazil and Mexico strained to continue early year positive direction, with looming presidential election cycles overwhelming ...

The Asian Development Bank’s Indochina Bond Barrage

While Cambodia and Myanmar, despite logging high-single digit GDP growth, have been off mainstream investor radar screens as they face ...

Latvia’s Lengthy Laundry List Collection

Baltic stocks paused from their strong 2018 start as banking center Latvia again came under money laundering and sanctions-busting scrutiny, ...

China’s Wagging Tail Risk Tide

Entering the Lunar Year of the Dog Chinese and Hong Kong shares slumped on local and global fears after 2017 ...

South Africa’s Sedulous Cyril Bettors

South African stocks and bonds after gaining momentum on Vice President Cyril Ramaphosa’s win as ANC head postponing a sovereign ...

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