Apollo Global is building up cash, cutting leverage and selling out of riskier corners of debt markets as top executives gird the firm for what they expect to be market turbulence.
阿波羅全球(Apollo Global)正在增持現金、降低杠桿,并從更高風險的債務市場領域撤出,因高層管理者正為他們預期的市場動蕩做好準備。
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