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France: between the bond market and the barricades

  • Posted on October 6, 2026
  • By Financial Times
  • 4 Views
  • 1 min read
In brief

France faces mounting financial pressures as investors retreat from government bonds ahead of crucial electoral contests. The sovereign debt sell-off threatens stability across the European monetary union, triggering concerns among policymakers about contagion effects on neighboring economies. Political uncertainty compounds market volatility, creating a precarious situation where fiscal challenges intersect with democratic transitions.

Summary auto-generated by AI from the original publisher's content. Editorial standards.

France: between the bond market and the barricades
France: between the bond market and the barricades

The country is being hit by a pre-election debt sell-off. Many fear it could shake the Eurozone
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Author
Financial Times

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