Argentina's country risk falls below 570 points

Argentina's country risk index saw a significant drop on Wednesday, January 21, 2026, closing at 562 basis points according to JP Morgan's gauge. This decline reflects optimism in local and global markets, driven by a rebound in sovereign bonds and a wide trade surplus. The indicator fell seven points from the previous close of 569.

Argentina's country risk, as measured by JP Morgan's EMBI index, fell below 570 basis points on Wednesday, January 21, 2026, closing at 562 units. According to Rava Bursátil data, the indicator started the day at 572 points, hit a high of that level and a low of 561, before stabilizing at the close. This seven-point drop from Tuesday's 569 occurred amid a broad improvement in local assets, with dollar-denominated sovereign bonds gaining an average of 0.2%. The GD30 bond stood out, trading at 59.37 dollars per 100-face value sheet.

The weekly trend shows stability with a downward bias: it closed at 586 points on January 14, 566 on the 19th, and 569 on the 20th. Factors such as the 3.6% rebound in the S&P Merval index, the strength of the Central Bank's international reserves (44.808 billion dollars), and the trade surplus contributed to this compression. In contrast to November 2025, when it exceeded 650 points, the current level signals greater investor confidence.

"Argentina's economy maintains growth projections of 4% for 2026 and 2027 according to the latest International Monetary Fund report," stated Rava Bursátil in its January 19 report. This index measures the interest rate spread between emerging market bonds and U.S. Treasuries, acting as a thermometer for Argentina's ability to meet its external debt obligations.

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Illustration depicting worried traders on Argentina's stock exchange amid rising country risk and global market volatility.
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Argentina's country risk rises to 549 basis points amid global market caution

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Argentina's country risk index, measured by JP Morgan, closed at 549 basis points on Thursday, April 23, 2026, up 14 units. Local markets fell in line with Wall Street volatility and US-Iran geopolitical tensions. Sovereign bonds dropped an average of 0.7%.

Argentina's country risk index, measured by JP Morgan, closed on Tuesday, April 14, 2026, at 525 basis points, dropping below 530 points for the first time this year. The decline was driven by gains in sovereign bonds and central bank dollar purchases. The index has fallen nearly 90 points over the past week.

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Argentina's country risk index, produced by JP Morgan, dropped to 567 basis points at the close on Thursday, April 30, 2026. The 1.05% daily decline aligned with a rebound in sovereign bonds. The index reflects increased demand for fixed-income assets amid focus on fiscal matters.

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.

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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.

Argentine financial markets reacted strongly on Wednesday after Fitch Ratings upgraded the country's sovereign debt. The agency raised the rating from CCC+ to B- with a stable outlook.

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Argentine stocks and bonds traded higher on Monday, June 1, while the blue dollar closed at 1,435 pesos for sale. Country risk remained below 500 basis points.

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