Quote:
Originally Posted by OLD BOY
Starting with your last paragraph, yes, my typo. I don’t know where that came from, I meant to say ‘less than 18 months’. How strange!
On the first point, what I’m trying to say is that the forecasts are unable to predict future income, whereas losses from pulling out of the EU are known. So the credit side of the balance sheet is unknown.
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If the loses were known, why was there a range of potential downsides put forward by the remain side?