德意志银行调查显示法国最有可能未来两年面临政府债券危机

环球市场播报
Sep 29

  据德意志银行的一项调查,法国是在未来两年最有可能遭遇政府债券危机的国家,超过英国和美国等其他国家。

  该调查于9月22日至25日进行,超过半数做出回应者在给定国家列表中将法国评为最脆弱。英国以约20%的得票率位居第二,美国第三。

  由于连续数任总理难以推进缩减公共支出、降低赤字(该赤字为欧元区内最大)的改革,法国债券一年多来一直承受压力。衡量借贷成本的指标——法国10年期收益率如今与意大利相当,而意大利在历史上一直被视为该地区财政不负责任的典型,直到总理梅洛尼开启了一个政治稳定时期。在德意志银行的调查中,意大利排名第五,日本第四。

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责任编辑:王许宁

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