With the global economic crisis leaving markets in disorder, the challenges facing financial institutions and government agencies today remain severe. The pressure is on these institutions to rethink prior assumptions about risk in order to help restore stability and trust in the fixed income markets.
The team draws from its diverse experience and background for insightful analyses of the factors impacting the fixed-income markets. This space houses our thinking, perspective and approach to the Latin American capital markets.
For more information, please contact us.