Argentine markets trade after Moody's debt decision

The JP Morgan country risk indicator fell 11 points on July 22. Local shares trading in Wall Street rose and the official dollar closed at 1505 pesos for sale.

Local markets responded to Moody's decision on Argentine debt.

The JP Morgan country risk indicator fell 11 points during the July 22 session.

Argentine shares trading in Wall Street rose. The official dollar closed at 1505 pesos for sale at Banco Nación.

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Illustration of Argentina's falling country risk with financial charts, flag, and Wall Street elements
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Argentina country risk falls below 420 points

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The JP Morgan index closed at 417 basis points on Thursday, July 2, its lowest level since 2018. Argentine bonds and stocks rose in Wall Street while the official dollar remained stable.

On Tuesday, June 23 the country risk rebounded to 433 points and the official and blue dollar reached their highest values since January. International stock markets fell and Argentine shares on Wall Street traded lower.

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Argentine stocks and bonds closed lower on Friday, June 5, ending an upward streak. Country risk rose to 494 basis points according to JPMorgan.

The J.P. Morgan indicator ended the Thursday July 23 session at 437 basis points. The official dollar reached its highest value since July 7 while Central Bank reserves fell to US$48.684 million.

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Rating agency Standard & Poor’s raised Argentina’s sovereign debt rating from CCC+ to B- on Thursday, June 11, 2026, triggering sharp gains in stocks and bonds and cutting country risk to its lowest level since 2018.

JP Morgan’s country risk index fell on Monday, June 15, to 425 basis points, its lowest level since April 2018. The drop followed the announcement of a preliminary agreement between the United States and Iran to reopen the Strait of Hormuz.

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S&P Global Ratings upgraded Argentina's sovereign credit rating from CCC+ to B- on Friday. Country risk closed at 437 basis points, the lowest level since May 2018.

 

 

 

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