At the meeting in Paris, Philip Lane made an assumption that the conflict in Ukraine may cut eurozone economic growth by 0.3%-0.4%. The announcement was made just a few hours after the outbreak of hostilities in Ukraine.
This is the " middle scenario " of the economic situation. Lane presented a tougher scenario as well, under which GDP might fall by almost 1%, and a light version, when the current situation has no impact on the monetary block. But this scenario is considered unlikely.
All these forecasts are quite vague, so Lane says he will give a more precise estimate at the March 10 meeting, at which the ECB is to make a decision on the future of its stimulus program.
Lane did not present new inflation forecasts, but he told delegates at the meeting that the 2022 outlook will be significantly increased, with a hint that estimates at the end of the horizon could still be below the ECB's target level of 2%.
The ECB's forecast horizon currently extends to 2024.
美國股市指數連續第三個交易日收高,受到科技板塊強勁上漲的推動。納斯達克指數飆升2.74%,受益於Alphabet和ServiceNow等公司強勁的財報業績。
隨著財報季的開始,持續的關稅對峙造成的不確定性正明顯地影響商業活動和消費者信心。 儘管市場樂觀,一些大型美國企業正在修訂其預測。
美國市場顯示出不穩定的跡象。關於中美貿易衝突可能降溫的積極信號帶來了希望,但專家警告不要過於樂觀。
隨著對經濟增長放緩及貿易關稅影響的擔憂加劇,S&P 500和Nasdaq 100指數持續下滑。市場持續波動,投資者在不確定性加劇的環境中調整策略。
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