2001年阿根廷经济危机

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f December 5, the IMF declined to provide $1.3 billion in emergency aid to debt-laden Argentina loans, so that the country is facing one of the largest debt crisis in the history .
2001 Argentina economic crisis
In march of 2001, there is a small debt repayment peak in Argentina, while the market for the Argentine government„s ability to borrow new debt to return dead horse. However, suspicion of Argentina did not completely eliminate the whole market. Until July 10, Buenos Aires,the Argentine capital, the exchange of exchange rate volatility suddenly, to reach a peak on July 12, the peso actually has depreciated by about 5%.
After the July storm, because of Argentina's government and the concerted efforts of the international community, finally gradually subsiding. On November 1, DeLauro a President announced that Argentina will be implemented to renegotiate debt, difficulty adjusting tax, support enterprises and package of economic adjustment measures, such as new bond issues to overcome the financial crisis. But these measures did not get a positive response, on the contrary, there is a largest one unrest come out in July.
On November 2, stock “melva” in Argentina securities market share index 284% is lower than the previous trading day. The government public bond prices continued to fall. At the same time, the money market rates increase quickly, so that its rate for overnight loans between Banks is as high as 250% to 300%. As a result, Argentina's national risk index for evaluation of the Morgan bank, New York, once broke the 2500 mark, record. So the Argentine government continue to emergency to the international monetary fund for help.
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