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File 025215

JPMorgan Eye on the Market Newsletter - US Debt Ceiling and European Crisis (File 025215)

JPMorgan newsletter from July 25, 2011 analyzing US debt ceiling negotiations, European bailout plans, and their implications for financial markets and economic policy.

Summary

This JPMorgan 'Eye on the Market' newsletter examines the July 2011 US debt ceiling crisis, comparing it to Reagan-era debates and arguing for fiscal responsibility despite default risks. It analyzes various deficit reduction proposals (Gang of Six, Reid-McConnell, Obama-Boehner) and predicts revenue increases will comprise 25% or more of any deal. The newsletter also covers Europe's expanded bailout plan for Greece, Ireland, and Portugal, noting execution risks including Greece's budget surplus targets, asset sales, and bank participation in debt exchanges. It expresses concern about the EU-IMF lending facility's capacity if larger economies like Spain or Italy require assistance.

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