France, Europe’s second-largest economy, is on the brink: soaring deficits, skyrocketing borrowing costs, and political instability are shaking investor confidence. With markets fearing a potential eurozone debt crisis 2.0, traders are eyeing French bonds and the CAC 40 for short-term volatility plays and long-term opportunities.
This is a critical moment for investors: ignore it, and you risk missing one of the biggest macro-driven trades of the decade.
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