What are the consequences of the electoral situation in Italy on the financial markets? Our experts contribute their insights.
Italy: what are the risks to the sustainability of its debt?
A new report Euro Area Watch, just released by Alan Lemangnen & Camille Neuville Economists Italy and with the contribution of rates strategistsJean-Christophe Machado and Cyril Regnat, main topic « Italy: what are the risks to the sustainability of its debt? A complete analyse of the factors that could derail the public debt ratio from its current trajectory (1) a shock to interest rates, (2) a sharp reduction in primary surpluses (3) a trend slowdown in growth.
Available only for Natixis CIB clients and current subscribers to Natixis Research website.
> Euro Area Watch report – 4 June 2018
Les marchés italiens dans la tourmente de la crise politique
Despite the formation of a new coalition government, uncertainties still remain on the Italian political situation and its potential impact on the financial markets.
Read Ostrum Asset Management’s experts analysis and outlook.