Risk assets suffered a severe setback as a fresh surge in Italian government bond yields triggered fears that the eurozone debt crisis was entering a new and potentially more dangerous phase.
隨著意大利國債收益率的新一輪飆升引發投資者擔心,歐元區債務危機正進入一個潛在更加危險的新階段,風險資產遭受重挫。
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