Fiscal Standoff

Retourner
Cover

This Macrocast Report by AXA IM highlights key global economic trends and their implications for financial markets amid rising geopolitical and fiscal tensions.

• French Political Risks: Fiscal uncertainties in France grow as the government faces a potential no-confidence vote, putting budget targets and public confidence at risk.  
• Global Bond Markets: European bond yields decouple from U.S. trends, aided by ECB rate cuts and improving inflation data in the Eurozone.  
• U.S. Fiscal Policy: The Trump administration’s tariff threats and fiscal priorities elevate geopolitical tensions, with limited immediate market impacts.  

For in-depth analysis of these dynamics and their investment implications, access the full report.

Pour lire cet article, vous avez besoin d'un abonnement à Investment Officer. Si vous n'avez pas encore d'abonnement, cliquez sur 'Abonner' pour connaître les différentes formules d'abonnement.