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File 031159

JPMorgan Eye on the Market: US Debt Ceiling and European Bailout Analysis (File 031159)

July 2011 JPMorgan investment analysis examining US debt ceiling negotiations and European financial crisis response, with commentary on large-cap growth stock opportunities.

Summary

Chief Investment Officer Michael Cembalest analyzes three major market issues: US debt ceiling negotiations including the Obama-Boehner, Gang of Six, and Reid-McConnell plans; a new European bailout package providing financing for Greece, Ireland, and Portugal with potential transfer union implications; and the attractiveness of large-cap growth stocks as markets await resolution of sovereign debt issues. The report addresses concerns about Greek debt sustainability, German taxpayer burden, and execution risks while recommending growth stock positioning given strong Q2 earnings trends.

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