Uncertainty about the outlook for China’s economy, lingering worries over eurozone debt and disappointing US earnings combined to pull the rug from under risk assets just as the markets were showing signs of stabilising.
就在市場剛出現企穩跡象之際,有關中國經濟前景的不確定性、有關歐元區債務的揮之不去的擔憂,以及令人失望的美國利潤,就破壞了支撐風險資產上漲的動力。
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