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Во Франции уже весело.

Но особенно жарко сегодня будет на рынках суверенных долгов еврозоны.

Последние недели доходности резко подросли — во Франции, ясно-понятно, пробили ключевые уровни.
Но дела уже не очень и с бондами южных должников (Италия, Греция, Португалия).

Неужели таки дожили до начала кредитного кризиса в ЕС, который кое-как проскочили в 2022-23?

@MarketHeart



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Во Франции уже весело.

Но особенно жарко сегодня будет на рынках суверенных долгов еврозоны.

Последние недели доходности резко подросли — во Франции, ясно-понятно, пробили ключевые уровни.
Но дела уже не очень и с бондами южных должников (Италия, Греция, Португалия).

Неужели таки дожили до начала кредитного кризиса в ЕС, который кое-как проскочили в 2022-23?

@MarketHeart

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The Dow Jones Industrial Average fell 230 points, or 0.7%. Meanwhile, the S&P 500 and the Nasdaq Composite dropped 1.3% and 2.2%, respectively. All three indexes began the day with gains before selling off. Investors took profits on Friday while they could ahead of the weekend, explained Tom Essaye, founder of Sevens Report Research. Saturday and Sunday could easily bring unfortunate news on the war front—and traders would rather be able to sell any recent winnings at Friday’s earlier prices than wait for a potentially lower price at Monday’s open. There was another possible development: Reuters also reported that Ukraine said that Belarus could soon join the invasion of Ukraine. However, the AFP, citing a Pentagon official, said the U.S. hasn’t yet seen evidence that Belarusian troops are in Ukraine. Markets continued to grapple with the economic and corporate earnings implications relating to the Russia-Ukraine conflict. “We have a ton of uncertainty right now,” said Stephanie Link, chief investment strategist and portfolio manager at Hightower Advisors. “We’re dealing with a war, we’re dealing with inflation. We don’t know what it means to earnings.” And while money initially moved into stocks in the morning, capital moved out of safe-haven assets. The price of the 10-year Treasury note fell Friday, sending its yield up to 2% from a March closing low of 1.73%.
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