Argentina's country risk rises to 515 points after bond decline

Argentina's country risk rose 0.78% on Wednesday, February 18, 2026, closing at 515 basis points. The increase aligned with a general decline in local sovereign bonds, as the market absorbed domestic and international financial contexts.

The index compiled by JP Morgan, known as the Emerging Markets Bond Index (EMBI), measured Argentina's country risk at 515 basis points at the close of trading on February 18, 2026. This represented an increase of four units from the previous day, when it had closed at 511 points, interrupting a slight downward trend.

During the session, the indicator opened at 509 points and reached a high of 515 units, stabilizing at that level. The upward movement was driven by the negative performance of sovereign bonds: Bonares fell up to 0.80%, while Globals recorded an average decline of 0.60%.

Over the past week, the country risk showed an irregular evolution, staying near 500 points. On February 11 it was at 506 points, rose to 514 on the 12th, reached 519 on the 13th and held at that level until the 16th, before dropping to 511 on the 17th. The rebound to 515 reflects sensitivity to internal factors, such as the 3.3% drop in the S&P Merval index, and external ones, like uncertainty in the global technology sector.

Market analysts, such as Alexander Londoño from ActivTrades, have noted that a country risk around 500 points is consistent with an improvement scenario. However, the index remains above the lows recorded at the end of January, when it reached 493 units.

The country risk measures the difference in interest rates between emerging market bonds and U.S. Treasury bonds, expressed in basis points. An increase indicates a higher perception of default risk, making financing more expensive for the state and companies.

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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, 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.

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Argentina's country risk closed at 511 basis points on Tuesday, May 12, 2026, up 15 points from the previous close.

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

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Argentine assets came under pressure on Friday, May 15, as country risk rose 2.5 percent to 538 basis points. The S&P Merval fell 1.4 percent in pesos and most ADRs closed in the red.

Argentina's dollar blue closed on Friday March 27 at $1.395 for purchase and $1.415 for sale, down $10 during the day. Other financial dollar types hovered around $1.470. Country risk stood at 6,105 basis points.

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Global financial markets reacted on Monday to renewed surges in oil prices and geopolitical tensions in the Middle East, continuing the economic ripple effects first seen after the Iran conflict and Hormuz blockade earlier this year.

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