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Macro Finance

French Fiscal Concerns Bring Home Painful Risk Premium

Bloomberg Markets·October 6, 2026·1 min read

Markets are putting a new price on French risk after decades of budget deficits and rising debt. Investors are charging more to hold government bonds, the stock market is under pressure, and the cost of insuring bank bonds has jumped. The euro fell to its weakest level since May 2025 on Monday.

Read at Bloomberg Markets
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