The decision occurred at the end of September. Argentine bonds now became part of a broader indicator, which gives less frequent information.
The American bank JP Morgan excluded Argentina from EMBI+its main indicator dedicated to Bonds of emerging markets. As a consequence, investors no longer have real -time information from the Argentine country risk.
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The displacement of the measurement of the rates differential of the national sovereign titles has as its main impact the availability of information less frequently. Minute by minute are no longer provided. On the other hand, since September 30, the risk indicator for Argentina is now reported only once a day.


This occurs because the decision of the largest financial entity in the US involved displacing the country of the EMBI+ index and pass it to a broader and less strict indicators, according to the information published by Infobae and what scope could confirm with sources of the financial market.
Note in development-.
Source: Ambito

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