The LatinFinance Investment Management Review

The LatinFinance Investment Management Review

Argentina

Conservative, cautious and bearish were the most common buzzwords used by Latin American portfolio managers to describe the investment environment last year. The deepening fiscal crisis in Argentina and the decline of technology stocks in developed markets stifled performance of both the equity and fixed-income markets in Latin America. Although lower interest rates in the US helped financial markets in the region, economic uncertainty there still darkened the mood in Latin America. In LatinFinance's fifth annual review of the best performing funds in the region - conducted in cooperation with Standard&Poor's Micropal - total returns and the distribution of assets reflect the turbulenc

Already have an account?

Free trial

Take a free two-week trial now for the latest news, data and market analysis.

Free Trial