Venezuela is back on investors’ radar, and not quietly.
The Caracas Stock Exchange saw an explosive run in 2025, fueled by shifting expectations around sanctions, political developments, liquidity, and market access. Our Venezuelan Market Report breaks down what is driving this rally, what is supported by fundamentals, and what is still largely headline-driven.
We cover the key points CEOs and investors should understand quickly:
•Why local equity returns look extraordinary on paper, and what they mean in USD terms
• The concentration of Venezuela’s public markets and what that means for risk• The status of Venezuelan debt and why restructuring expectations are moving prices
If you follow emerging markets, Latin America investing, or frontier market equities, this report gives a clear, current snapshot of the opportunity and the risk.
Read the full report here: Venezuelan Market Report