The central scenario handle the experts consulted in the coming months is one in which the volatility will remain below historical levels, but will rebound. One reason could be that generate nervousness May 24 election left very fragmented parliaments. “Investors generally valued positively stability in the governments and the peaceful changes. A very fragmented scenario could generate some uncertainty in the short term,” adds Guillermo Aranda, CEO of atlCapital. For this assumption average volatility, which is the most likely, these investment recommendations of experts.
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