The Dominican Republic is attracting bond investors in search of markets with high yields, strong GDP growth, and stable politics
Category: Asset Management
Pemex self-financing goal evokes caution
Mexico is intent on lightening Pemex’s gargantuan debt burden, but investors see government financial aid continuing beyond 2027
Bankers stay bullish amid ESG bond slump
Despite this year’s slowdown in issuance, bankers see no sign of a lasting shift in demand for labelled bonds from Latin America
Mexican issuers lap up narrowing spreads
Strong demand for high-grade corporate bonds has lured issuers to market, and sources see the trend continuing in the second half of the year
Bolivian bond rally gains steam ahead of election
Hopes that presidential vote will turn around the country’s economic fortunes are fueling wagers bond prices have higher to go
Brazil-US friction fuels investor angst
Rising tension between the two countries has sparked capital outflows, as hopes of reaching a trade deal before August 1 fade
Investors look to future despite sticky Colombian deficits
Bond prices are starting to reverse their losses from earlier this year amid expectations a fiscal correction will take place — just not under the current administration
Hungry buyers fuel blazing LatAm bond spree
After the busiest June ever for bond issuance out of Latin America, bankers and investors see the brisk market continuing
CORRECTION: Riverstone bags green financing
US asset management firm signs $189 mln deal to refinance a solar portfolio in Mexico
Mexico investors see more juice in local debt
While spreads on the sovereign’s dollar debt are stretched, asset managers see room for local bonds to climb further as interest rates fall
