
Paris equities head into the final full trading week before Christmas with a familiar mix of late‑year themes: central-bank messaging, rate-sensitive sector rotation, and event-driven flows tied to index changes and derivatives expiry.
The catalysts most likely to move markets.
Policy tone can move rates, USD, equities, gold and crypto simultaneously.
A weak final reading or elevated inflation expectations could pressure risk assets.
A surprise versus 58.0 may alter the near-term manufacturing-growth narrative.