比推消息,法国外贸银行投资管理公司对其内部策略师和投资组合经理进行的一项调查显示,美国国债市场动荡已成为首要风险。受访的 85% 的策略师认为,这是中度到高度担忧的问题。三分之二(62%)的欧洲策略师认为美国国债投资已不再像过去那样安全,而只有四分之一(24%)的美国策略师持相同看法。
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