
Disaster risk in euro-area bond markets
The Sound of Economics
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Navigating the Euro Area's Economic Dynamics
This chapter explores the complexities of the euro area, focusing on how a common monetary policy affects diverse national economies. It highlights the ripple effects of political uncertainty and debt-financed spending on bond markets and interest rates across the region. Additionally, the chapter discusses the interplay between core and peripheral countries, emphasizing the challenges of investor behavior, market stability, and regulatory balance in times of economic turbulence.
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