Investors are growing worried that if the European Central Bank signals too aggressive a tightening in monetary policy, it could trigger the type of bond market tumult that worsened the eurozone debt crisis a decade ago.
投资者越来越担心,如果欧洲央行(ECB)发出过于激进的收紧货币政策的信号,可能会引发10年前曾令欧元区债务危机恶化的那种债券市场动荡。
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