Text size

French government bonds to experience the greatest volatility until June

According to Thomas Gitzel, senior economist at VP Bank, risk premiums for 10-year French government bonds will experience the most volatility in the coming months until June during the parliamentary elections. Gitzel expects the actual outcome of the presidential election between the Francois Hollande and the incumbent president, Nicolas Sarkozy to have little to no impact on risk premiums for…

To access this content, please click back to the home screen, then click “Menu” (bars in top left bars) and then “Login”.
To enquire for a free trial, please start here.
Need more help? Click here or email [email protected].

Have a confidential tip? Get in touch [email protected]