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.
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.