Analysis: Follow the curve: Italy grapples with debt volatility
ROME, Feb 16 (Reuters) – Italy’s 10-yr govt bond generate is forecast to ordinary about 5{d0229a57248bc83f80dcf53d285ae037b39e8d57980e4e23347103bb2289e3f9} subsequent year, close to its 2012 stage during a risky financial debt crisis. Nonetheless…
A lesson for Italy from Germany’s debt management
Marcello Minenna is an economist serving as specialized assessor for the Calabria region, adjunct professor of money econometrics and empirical finance at the Università Telematica San Raffaele, and columnist at…

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