the essay must be strongly focused on the impact on financial markets, not on other aspects of the European sovereign debt crisis (i.e. there should be no discussion of banks, politics or macroeconomics).
the essay can consider the impact of the crisis on any one or two of the following: equity markets, bond markets, money markets, derivatives markets and foreign exchange. Contagion (or spillover) across markets is an important theme to be included.
The essay must include some theoretical content as well as practical considerations. A minimum of ten references from academic journals is expected. Support the arguments with examples when appropriate.
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