Nomura has reduced its exposure to countries in the eurozone periphery by 75 per cent in the past two months in a move that highlights concerns about the growing risk of holding eurozone periphery government debt amid the region’s crisis.
野村證券(Nomura)在過去兩個月將其對歐元區外圍國家主權債務的敞口降低了75%,此舉凸顯其擔憂:在這場危機中持有歐元區外圍國家國債的風險日益升高。
您已閱讀15%(313字),剩餘85%(1767字)包含更多重要資訊,訂閱以繼續探索完整內容,並享受更多專屬服務。