Soaring government debt levels threaten to make investors reassess European sovereign risk and could “reignite pressures” on more vulnerable countries in the region, the European Central Bank has warned.
歐洲央行(ECB)警告稱,不斷飆升的政府債務水準可能會促使投資者重新評估歐洲主權風險,並可能使該地區比較脆弱的國家「再次承受壓力」。
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