Conflict in the Middle East: Country Risk Rises to Its Highest Value in a Month and a Half
The ongoing conflict in the Middle East has caused a spike in Argentina's risk assessment, reaching a peak not seen in over a month and leading to significant market declines.
How the dollar ceased to be a refuge β And why this overturns everything
The article discusses how the dollar is losing its status as a safe haven due to political turbulence in Washington, with a growing concern for American institutional trust and investors quietly demanding a risk premium from the superpower.
Bank of America: Greece is an Attractive Market, Why It Remains Overweight
Bank of America highlights Greece's strong position in EEMEA rankings and its appeal for investors due to valuation metrics and equity risk premium.
The Treasury begins the debt placements of 2026 favored by a risk premium of around 40 basis points
Spain initiates its 2026 debt placements by selling β¬7.01 billion in mid and long-term bonds, benefiting from a favorable risk premium.