Analyses
U.S. Debt Trajectory and Implications for Markets
|
Global Multi-Asset Viewpoint
|
• |
novembre 30, 2021
|
U.S. Debt Trajectory and Implications for Markets |
Excessive policy stimulus in response to the pandemic has resulted in wartime-like deficits and substantial increases in government indebtedness in most major economies. The consequences of this worrisome development have been widely debated recently. In this note we attempt to consider three questions: Will U.S. government debt stabilize? What is the risk that we will see sovereign stress, and when might it materialize? What are the likely implications of high and growing government debt for the investment environment?
For more please download the full report.
![]() |
Head of Global Multi-Asset Team
Global Multi-Asset Team
|
![]() |
Managing Director
Global Multi-Asset Team
|