U.S. policymakers continue their discussion about whether to raise America's debt ceiling above its current level of $14.3 trillion. Standard & Poor’s has observed that any failure to raise the debt ceiling would cause significant and long-lasting financial and economic disruptions. In this CreditMatters TV interview, Paul Coughlin, Standard & Poor’s executive managing director, discusses our views on the potential impact on the U.S. economy and the financial markets if the debt cap issue is not resolved in a timely manner.
Fundselect is to empower investors/readers with Information and References. The Inferences and views are being attempted to gauge the mood of the market in short term. Fundselect, has firm belief (own experience) in the book, ' The Intelligent Investor;' By Graham and is not a associated with any Brokerages, Banks or particular investment idea.This is more of a Investor Dialogue. Fundselect is Independent and author bears the responsibility of his posts.
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