Eurozone banks must prepare for the risk of funding sources becoming “more volatile” next year, said the region’s top banking supervisor as it warned lenders against complacency amid mounting geopolitical and economic risks.
歐元區最高銀行監管機構表示,歐元區銀行必須針對資金來源明年變得「更加不穩定」的風險做好準備。該機構警告銀行在地緣政治和經濟風險不斷加劇的背景下不要自滿。
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