European bonds gyrated yesterday in the worst bout of volatility since the eurozone debt crisis, as markets were thrown into confusion over the impact of quantitative easing on Europe’s financial assets and economies.
昨天,歐洲債券遭遇自歐債危機以來最嚴重一輪波動,市場對量化寬鬆對於歐洲金融資產和經濟體的影響陷入困惑。
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