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Market Impact: 0.6

Whispers of Contagion Risk Are Returning to Europe’s Bond Market

Source: Bloomberg

Sovereign Debt & RatingsCredit & Bond MarketsInvestor Sentiment & Positioning

A selloff in European government bonds has raised investor concerns about potential contagion across the region’s sovereign debt markets, reviving memories of Europe’s debt crisis 15 years ago. The article signals heightened risk aversion in government bonds, with market participants monitoring whether stress spreads between issuers.

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