What would a Brexit mean for the Nordics?

23-05-16 10:49 | Economic outlook | Markets and investments

If Britain chooses to leave the EU at the June 23rd referendum, financial market risk appetite will likely wane, causing share price declines and a safe-haven flight to bond markets. For the Nordic region this could trigger higher volatility and a potentially large capital inflow, in addition to direct and indirect impact to trade relationships.

Nordea’s analys Jan Størup Nielsen comments on what a Brexit would mean for the Nordic markets in a podcast:

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