Aktuelle Frage im Economics Forum:
"Government Shutdown, Debt Ceiling, mögliches Tapering und höhere Renditen auf Staatsanleihen lenkten den Fokus der Investoren auf die US Anleihenmärkte. Wie ist Ihre aktuelle Einschätzung der makroökonomischen Lage in den USA und welche Faktoren sollten Investoren genau beobachten?“
"For the next few days, the focus will remain on the debt ceiling debate. As the October 17 deadline approaches, market concerns will increase pushing equity markets and bond yields lower. That said, by far the most likely scenario remains that a deal will be done before the October 17 deadline. If this happens, the economic recovery should not really be impacted by the debt ceiling debate. Markets will than recover following the deal as the focus shifts back to the improving economic outlook. Towards December, Fed tapering will then come back on the agenda. "
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