Global stocks and bonds will register losses of more than $30tn for 2022 after inflation, interest rate rises and the war in Ukraine triggered the heaviest losses in asset markets since the global financial crisis.
2022年,通脹、加息和烏克蘭戰(zhàn)爭引發(fā)全球金融危機,重創(chuàng)資產(chǎn)市場。全球股票和債券的損失將超過30萬億美元。
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