Soaring borrowing costs could trigger a “correction” in the stock market, big investors have warned, highlighting a growing disconnect between exuberant equities and bonds battered by worries over high inflation.
飙升的借贷成本可能引发股市的一轮“回调”,大型投资者警告称,凸显高涨的股票与受高通胀担忧重创的债券之间日益加剧的分化。
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