Chart Of The Week: Eurozone Credit Risk

 | Jun 05, 2018 12:11AM ET

This week it's a look at credit risk pricing in the eurozone. This is a chart I've been using a lot in recent months, of course as of the last week it's looking a bit more interesting! The reason why I've highlighted this chart in the past is that post-financial crisis, sovereign credit risk pricing did calm down, but at a new plateau. In contrast, corporate credit risk pricing just got back to business, down to pre-crisis lows.

The chart comes from a report on eurozone equities , where I discussed the revised outlook based on changing signals from valuation, risk pricing, economic sentiment, and the earnings/macro backdrop. I think this chart is certainly one of the key risk monitor charts investors should have on their radar.