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During the 2008 and 2011 Financial Crises in Spain and Italy

Question 116

Multiple Choice

During the 2008 and 2011 financial crises in Spain and Italy, the spread between the interest rates on 10-year bonds issued by the governments of Italy and Spain and the interest rates on 10-year bonds issued by _____ was a measure of risk.


A) Great Britain
B) Germany
C) Ireland
D) France

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