4:56am PDT - July 4th, 2021
In today’s Sunday Wrap: The outlook for the second half of the year: Further strong econ recovery - and further (if more modest) gains for risky assets. Biggest risk (and not only to markets): Signals of premature withdrawal of stimulus in Europe. https://t.co/FKBz2I1QIa https://t.co/fniuaDdDnl
50 retweets 13 likes - Erik Fossing Nielsen (@ErikFossing)