Падение облигаций в Аргентине и растущий риск страны

Облигации государственного долга в Аргентине падают, при этом риск страны превышает 1500 пунктов. Акции показывают умеренный рост на фоне политических напряжений в официальном блоке.


Падение облигаций в Аргентине и растущий риск страны

Бонды.argentinian debt experienced a decline in operations, maintaining country risk above 1,500 points. On the other hand, stocks show moderate increases due to the re-entry of investment funds adjusting portfolios before the end of the month. The S&P Merval records an increase of 1%, reaching 1,608,129.33 units after a drop of 0.9% in the previous session.

In the stock market, increases of up to 2% are observed, led by companies like Supervielle, Grupo Financiero Galicia (+1.9%), YPF (+1.9%), Banco Macro (+1.8%) and Pampa Energía (+1.7%). The notable selectivity influencing the dynamics of the stock market is highlighted.

Meanwhile, market attention is focused on political tensions within the ruling bloc in the Chamber of Deputies and the apparent distancing from the more dialoguing opposition. Regarding fixed income, dollar bonds have experienced declines of up to 2.8%, led by Global 2041, followed by Bonar 2041 (-1%) and Global 2038 (-0.9%).

Country risk, measured by JP Morgan, has increased by 13%, equivalent to 2 units, reaching 1,518 basis points. On the other hand, in the CER curve segment, generalized increases of up to 1.3% are observed, with PARP having the largest increase, followed by PAP0 (+1%) and TZX27 (+0.9%). Only TX28 and CUAP register slight declines of 0.1%.

Finally, in the BOPREAL market, a decrease of up to 1% is observed, while linked dollars fall by up to 0.3%.

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