If the Portuguese or Italian governments were to tumble into a serious debt crisis, how would this affect sovereign and bank risk across the rest of the eurozone and US? Or how would European banks and insurers react if American institutions were hurt by a US rate rise?
如果葡萄牙或意大利政府陷入严重的债务危机的话,将如何影响欧元区其他国家以及美国的主权和银行风险?或者,如果美国金融机构因为美国加息而受损,那么欧洲的银行和保险公司将做何反应?
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