France is currently experiencing financial turmoil, which is causing concern among investors and potentially impacting the country's economic stability and investor confidence.
In the UK, inflation has risen, posing challenges for the new Labour government. The latest data suggests that the economy is almost stagnant in the third quarter, making it difficult to implement effective fiscal policies.
Additionally, the euro and pound have both declined following Donald Trump's election, leading to uncertainty in the stock market. While defense and health stocks have seen gains, sectors focused on green transitions and lending to Mexico are facing more difficulties.