摩根资产管理第三季度在多资产投资组合中维持偏好风险的策略青睐美国、日本及新兴市场股票以及美国高收益债券。对于欧洲股票采取

智通财经
Jul 13
摩根资产管理第三季度在多资产投资组合中维持偏好风险的策略青睐美国、日本及新兴市场股票以及美国高收益债券。对于欧洲股票采取中性立场;鉴于欧洲经济增长面临下行风险对欧洲债券采取多头策略。

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