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In 2018, bond issuance from Latin American and the Caribbean (LAC) slowed, bond spreads widened and credit quality deteriorated. The region saw the best and the worst conditions for tapping international capital markets in 2018. In January 2018, issuers from the region placed their highest ever m...


This paper analyses the relationship between corporate bond issues and the existence of corporate governance frameworks that influence the development of financial markets by reducing information asymmetries and conflicts of interest. To this end, the international corporate bond market is review...


Núñez Reyes, GeorginaPerrotini Hernández, IgnacioLópez-Herrera, FranciscoCorporate governance and international bond issues by Latin American corporations

En este artículo se analiza la relación entre la emisión de deuda corporativa y un esquema de gobierno corporativo que incide en el desarrollo de los mercados financieros a través de la reducción de las asimetrías de información y los conflictos de interés. Para ello, analizamos el mercado de deu...


Núñez Reyes, GeorginaPerrotini Hernández, IgnacioLópez-Herrera, FranciscoGobierno corporativo y deuda internacional de empresas latinoamericanas

The objective of this report is to analyze the impact of recent global financial trends on the access to private external financing by Central American and Caribbean (CAC) economies, as well as their performance in international capital markets in recent years. The CAC economies, like many other ...


Bustillo, InésVelloso, HelviaAccess to international capital markets: recent developments in Central America and the Caribbean

The external environment has deteriorated sharply as a result of the spiraling financial turmoil, and has led to a weakening in commodity prices and fears of a worldwide recession. Latin America and the Caribbean's fastest expansion in 40 years may be threatened as the global credit crunch makes ...


Market sentiment and portfolio flows to Latin America and the Caribbean (LAC) ended the first quarter of 2016 on a more optimistic note than it started. There was a large rally in LAC assets in March, but its intensity was also a function of the very challenging start of the year, when credit and...


This report provides an overview of Latin America and Caribbean’s access to the cross-border debt markets in 2015. The main developments of the year are described through charts and tables, revealing the lowest annual issuance since 2009, higher spreads than in the previous year and a trend towar...


This document, prepared by the Economic Commission for Latin America and the Caribbean (ECLAC) Washington Office, presents and analyzes the most recent developments (first half of 2017) concerning capital flows to Latin America and the Caribbean.


Divergence in macro trends and in monetary policy in advanced economies was a dominant driver of rates and currencies in emerging markets in 2014. Diverging macroeconomic developments were reflected in different monetary policy actions in 2014, with the European Central Bank (ECB) and the Bank of...


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