We monitor financial markets locally and globally and outline scenarios based on the regulatory and macroeconomic environment, proposing criteria for the attractiveness of key risk assets.
In an increasingly volatile regional and international scenario, monitoring financial markets is key for the company to quickly adapt to changes in the environment, make educated decisions, and ensure its long-term financial health.
We include the impact of the macroeconomic scenario and outline the outlook for the key financial variables that affect companies.
We enhance the understanding of the scenarios, their impact on the business, and the best related investment options.