Indonesia Stocks Slide on S&P Warning of Frontier Market Exit
S&P Dow Jones could strip Indonesia of its frontier-market equity designation, forcing passive selling and weighing on Indonesian assets.
S&P Dow Jones could strip Indonesia of its frontier-market equity designation, forcing passive selling and weighing on Indonesian assets.
Investors and oil companies bet on Venezuela’s oil riches following Maduro’s fall, navigating political quakes to tap OPEC member’s underdeveloped fields.
Brazil's Treasury uses year-end cash buffer to stabilize local bond yields, supporting the real and easing contagion fears in emerging market debt.
Angola aims to raise $320 million via its largest-ever IPO, advancing efforts to diversify its oil-dependent economy and develop the Angolan stock…
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Argentina will bypass bond markets in the near term and targets an investment-grade sovereign rating by 2031, a plan that could bolster…
Chile’s right-wing political resurgence triggered an unprecedented wave of buying in local-currency bonds, lifting the peso as markets bet on pro-business policies.
The Bolivian central bank's decision to reopen US dollar accounts signals a reversal of capital controls, aiming to alleviate dollar scarcity but…
Turkey's press crackdown as NATO leaders gather triggers a sell-off in the lira and Turkish stocks, raising geopolitical risk premium and threatening…