【法国预算危机令买家望而却步 法国资产可能尚未触底】金十数据11月28日讯,在本周法国政治紧张局势突然升级后,投资者正避开法国资产,认为这个欧元区第二大经济体的动荡时期远未结束。标普全球评级公司定于周五更新其对法国的评估,这增加了围绕预算和现任政府命运的不确定性。法国资金外流已推高了借贷成本,并导致股市暴跌,基准股指相对于欧洲股市的表现可能录得2010年以来最糟糕的一年。高盛资产管理高级股票基金经理Nicolas Simar表示:“我们可能会看到一些事件引发更大的折价。”“很难说我们已经触底了。”这场政治对峙威胁到法国总理巴尼耶通过明年预算的能力,与此同时,由于美国贸易关税和俄罗斯紧张局势升级的双重威胁,投资者本就已对欧洲感到不满。现在,法国看起来像是最糟糕的地区,这意味着任何分配给欧洲的资金都可能流向其他地方。
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