Readings: Ocean Liners, U.K. Risk, RIM, and Debt

  • Ocean liners getting bigger and bigger (The Economist)
  • Morgan Stanley Euroletter on U.K. default risk (Scribd)
  • After Dubai, Wondering Where the Next Debt Bombs Lurk (NYT)
  • Analysts getting squeamish about RIM earning estimates (Barron’s)

Related posts:

  1. U.S. Total Credit Market Debt by Sector: 1929-2008
  2. Morgan Stanley Started Down Bank Path a While Ago?
  3. The Debt-ification of the World: 1999-2010
  4. Morning Readings: Libor, Ramen, China, etc.
  5. Readings: VCs, Salmon, Risk, Bubbles, etc.

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