The Case of Argentina

Sovereign Risk, Financial Risk & Reward, Shareholder Engagement, Fixed Income

Argentina’s near-term governance strength as it transitions through its next election cycle, in managing the country’s exposure, sensitivity and adaptation ability to natural capital sustainability is a growing factor for sovereign bond investors currently owning $160 billion in Argentinian sovereign debt, maturing 2019–30.

Related Content

The latest reports to your inbox

Don’t miss out! To receive Planet Tracker's reports just click below and complete the contact form.
 

Sign up