Mexican government-owned trust raises $300 mln for investment
Category: Asset Management
Colombian markets slide after steep rate hike
More tightening may be ahead, analysts say, after the central bank unexpectedly raises interest rates by a whole percentage point
Hunt for yield, refinancing to keep LatAm markets busy
After a bumper year for dealmaking in 2025, investors and issuers see the bond market remaining busy in the months ahead
LatAm to benefit from ‘structural shift’ to EM investment
Trend is being driven by a weak dollar, the region’s rightward political shift, and geopolitical volatility elsewhere, say panelists
Brazilian investors less bullish on ESG
Fewer Brazilian asset managers and other financial institutions see sustainability becoming more relevant this year, survey finds
Bond rally lures Ecuador to market
The government of Daniel Noboa seeks to take advantage of the falling risk premium for its debt, as maturities loom
Innovation, sovereign retool may fuel rebound in ESG bond sales
Labeled bond issuance took a breather in 2025, but industry experts are optimistic about the outlook for the year ahead amid strong investor demand
Maduro’s capture stokes Venezuela bond rally
Investor bets on regime change prove prescient, but a restructuring of the oil-rich country’s debt could be long and arduous
Investors expectant as Kast clinches Chile election
Far-right candidate wins big in the presidential election, but a divided congress may force him to water down key pledges
Honduran bonds rise with election in the balance
While the leading candidates allege fraud in Sunday’s presidential vote, analysts say the election result seems positive for markets
