Overview of the European Debt Crisis

One of the most significant factors impacting the investment landscape over the past 18 months has been the sovereign debt crisis in Europe. Fiscal stress in a number of eurozone countries has weighed on the global economy, put pressure on the banking sector, and roiled financial markets worldwide.
The following is a look at how the crisis has unfolded, what is likely to happen next, and what that means from an investment perspective.  Click here to read American Century's analysis.   
Steven Karsh