
Mariano Cosentino
Mariano Cosentino is a Portfolio Manager at Santander Asset Management, where he focuses on investment strategies involving sovereign and corporate bonds. He is recognized for his analysis of market conditions and the potential impact of political events on bond prices, offering insights into how investors can navigate risks while seeking opportunities in the Argentine bond market.
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Argentina:
Mariano Cosentino is a Portfolio Manager at Santander Asset Management who analyzes the potential benefits of the IMF agreement.
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