Financial markets presentation

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You were given one of these countries with a relevant stock market and Fixed Rate market: USA

1.length of government and corporate debt in years to maturity (ST 0-2 years, and LT 5, 10, 20, 30 years)

2.% of Eurobonds of the public and corporate debt of listed companies in the country’s stock exchange

3.stock market performance vs interest rates and GDP growth, using country stock exchange index value (NYSE, DAX, CAC, MIL, IBEX, AEX, LSE, BOVESPA, Bolsa Mexicana, etc…)

    • 7 years ago
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