Risk assets suffered a severe setback as a fresh surge in Italian government bond yields triggered fears that the eurozone debt crisis was entering a new and potentially more dangerous phase.
随着意大利国债收益率的新一轮飙升引发投资者担心,欧元区债务危机正进入一个潜在更加危险的新阶段,风险资产遭受重挫。
您已阅读9%(247字),剩余91%(2628字)包含更多重要信息,订阅以继续探索完整内容,并享受更多专属服务。