IFM (A.M)

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ifm_assignment_outline.docx

No introduction and no conclusion

1- European Sovereign debt crisis and contagion: (500 words, at least 3 academic journals Harvard style of referencing)

· A brief description of the European sovereign debt crisis

· The impact of this crisis on the European financial markets in general

· Then, a brief description of the financial contagion and how one financial market impacted the whole European financial markets. (Mention causes of contagion such as the inter-connected financial markets, Credit rating agencies, trade)

2- Post-crisis European Equity market: (500 words, at least 3 academic journals Harvard style of referencing)

· The impact of the European sovereign debt crisis on their equity markets between 2010 and 2013.

· Provide graphs and relevant examples

3- Post-crisis European bonds market: (500 words, at least 3 academic journals Harvard style of referencing)

· The impact of the European sovereign debt crisis on their bond markets between 2010 and 2013.

· Provide graphs and relevant examples

4- Reforms made by the European Union: (500 words, at least 3 academic journals Harvard style of referencing)

· What were the reforms made to limit the sovereign debt crisis and stop the contagion between 2010-2013.

· What did the European central bank and European countries do to help the Equity and bond markets recover.

NB: Please everything should be between 2010 and 2013 except the sovereign debt crisis within the first section.