Big investors say they are diversifying their bond portfolios to include greater exposure to markets outside the US as Donald Trump’s trade war and the country’s growing deficit erode the appeal of the world’s biggest debt market.
隨著唐納•川普(Donald Trump)的貿易戰和美國不斷成長的赤字削弱了這個全球最大債務市場的吸引力,大型投資者表示,他們正在分散債券投資組合,以增加對美國以外市場的投資。
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