US hedge fund manager Boaz Weinstein’s main investment strategy has suffered losses this year, extending a run of lacklustre returns for two of his key funds as bets on credit markets fail to come good.
美國(guó)對(duì)沖基金經(jīng)理博阿茲?魏因斯坦(Boaz Weinstein)的主要投資策略今年出現(xiàn)虧損,他的兩只關(guān)鍵基金的回報(bào)持續(xù)低迷,原因是押注信貸市場(chǎng)的投資未能獲得回報(bào)。
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