Turmoil has returned to Chinese financial markets after more than two years of relative calm, reviving memories of 2015-16, when an equity market rout combined with currency depreciation captured the attention of global investors and sparked worries about systemic risk.
在經歷了兩年多的相對平靜後,中國金融市場再度出現動盪,讓人回想起2015-2016年的情景。當時,股市暴跌加上人民幣貶值引起了全球投資者的關注,引發了對系統性風險的擔憂。
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