Argentina: Can Another Crisis Be Avoided?

We've long viewed Argentina as characterised by unorthodox economic policies and an unattractive investment climate. That said, we've highlighted in recent months that the country appears to be undergoing a significant shift in both the tenor and the substance of its policy trajectory, one that could lead to an improvement in the Argentine business environment and help to avoid a serious economic correction in the next two years. Expanding on this subject, we've just published a Special Report entitled "Argentina: Can Another Crisis Be Avoided?" detailing our view that the Argentine economy is reaching a critical inflection point, and highlighting the oil and gas sector as a key case study for how government policy has evolved, and may continue to evolve, going forward. This podcast features Calvin Garner, BMI's Argentina Country Risk analyst, and Julie Beckenstein, from BMI's global Oil & Gas team, discussing the report.

This blog is tagged to:
Sector: Country Risk
Geography: Argentina
Tags: Argentina, Argentine peso, Latin America, Special Report, Country Risk

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