Articles by tag: emerging-markets
Historical Lessons from Sovereign Debt Crises Explained
Discover what are the historical lessons from sovereign debt crises, from currency traps to creditor structures. Learn how to analyze sovereign risk with expert insights.
EM currency rates strengthened: a trap for investors before US CPI
Strengthening of emerging market currencies masks capital flight and impending default. We analyze real risks ahead of US inflation data. Find out who will win and who will lose.
Argentine peso falls to 1450: crisis and IMF aid
Peso falls to 1450 per dollar, $1.2 billion reserves in two days, IMF accelerates $4.5 billion payout. Analysis of causes, winners and losers. Read details.
Central banks of Poland, Tunisia, India held rates, Kazakhstan cut
Analysis of central bank decisions: Kazakhstan cut rate to 17%, while Poland, Tunisia and India held. Why this matters more than Fed actions and how to profit from desynchronization. Read.
Argentina dollar bonds 15.5%: hedge fund analysis
Why Argentina issued bonds at 15.5% per annum, who benefits from political chaos, and how investors take risks. Forecast for 30-90 days.
IIFL Finance raised $500 million in dollar bonds: first issue in India since January
IIFL Finance placed Eurobonds for $500 million at 7.6% with demand of $2 billion. Return of Indian issuers to the external debt market. Analysis of the deal and consequences.
Reserve Bank of India keeps rate: impact of oil and rupee
Analysis of RBI's decision to keep rate at 5.25% amid US-Iran talks. Risks for rupee, inflation, and emerging markets. Read details.
Turkish stock market crashed: causes and consequences
Analysis of the Turkish stock market crash of 6.1%, reasons in the court decision, depletion of reserves and forecasts. Read the full expert analysis.
Uzbekistan IPO: BlackRock invested $300 million
Why BlackRock invested $300 million in Uzbekistan's first IPO in London. Analysis of the UzNIF deal, insights, forecasts, and investment opportunities. Read the detailed breakdown.
Capital outflow from India: over 14 thousand crore in May
Foreign investors withdrew 14,200 crore rupees. Learn about the reasons for the outflow, the impact of geopolitics, and market forecasts. Analysis and insights.
MSCI EM Record: How AI Boom Outpaced Geopolitics
MSCI Emerging Markets Index Hit Record High Amid Middle East Conflict. Learn How a Narrow Group of AI Companies Reshaped the Risk Map. Analysis for Investors.
Brazilian real leads in 2026: the secret of carry trade
Find out why the Brazilian real rose 11% in 2026. Analysis of carry trade, Selic rate and commodity boom. Valuable insights for investors.
Forint strengthens by 8%: markets await EU fund unlocking
Hungarian forint rises 8% after opposition victory. Learn how the change of power in Hungary will unlock access to €17 billion from the EU and what will happen to the exchange rate next.
Emerging market stocks: growth of 16% in 2026
Emerging market stocks outperform S&P 500 for fifth consecutive quarter. Learn the drivers of the rally and ways to invest in growth. Read analysis.
IPO of UzNIF: Uzbekistan's entry onto the London Stock Exchange for $1.95 billion
Dual IPO of Uzbekistan's National Fund for $1.95 billion in Tashkent and London. GDR price — $25. Submit your application by May 12 and learn the placement details.
Emerging Markets: Records and AI Boom in 2026
Emerging markets hit new records in 2026. MSCI EM rose 14% thanks to the AI boom and expensive oil. Find out who became the growth leader and what forecasts experts give.
Euro exchange rate hits new high: reasons and consequences
Banks raised the euro exchange rate to 52.40 UAH. We analyze why the currency is weakening, how it affects prices, and what to expect from the market. Read the analysis.