REAL-TIME GLOBAL RESEARCH
Global Strategy Europe 2H 2026 Outlook: Harvest Carry, But Prepare for Dispersion
Research evidence excerpt
Global Strategy Europe 2H 2026 Outlook: Harvest Carry, But Prepare for Dispersion
price volatility and inflation uncertainty. Additionally, even as Middle East Strategist
tensions and inflation pressures have faded, UBS’ composite supply chain stress mustafa.caylan@ubs.com
indicator remains elevated. Despite this, credit markets have proved resilient in the face +44-20-7901 5203
of these risks. Even as markets reached peak pricing for Fed hikes at the beginning of the Bhanu Baweja
conflict, EU/US HY credit spreads widened by just ~40bp and are now tighter than pre- Strategist
conflict levels. We think that the risk of broad-based spread widening from a resumption bhanu.baweja@ubs.com
in Middle East tensions remain limited from here, unless we see long-term inflation +44-20-7568 6833
expectations rise meaningfully or central bank rate hike pricing re-test the highs. At the
same time, we see some sectors as vulnerable if Middle East tensions or inflation
pressures resume, notably: Airlines, which outperformed as we expected as energy
prices normalized but now look rich; REITs, given their sensitivity to higher rates; and
select Cyclicals.
3. A two-speed economy, with fiscal optimism running ahead of fundamentals
One of the key idiosyncratic debates for Europe in H2 is whether long-awaited fiscal
stimulus will finally translate into stronger growth. Three points stand out: (1) Balance
sheet health remains materially stronger than in the US, except in B/CCC, where signs of
deterioration have emerged, revealing a clear gap between resilient higher-quality
issuers and weaker lower-rated cohorts. (2) German fiscal stimulus remains a timing risk,
with infrastructure spending yet to show meaningful traction, both IFO and PMI civil
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