Market turmoil driven by Russia’s invasion of Ukraine and rising inflation has sharply divided the hedge fund industry, with macro hedge funds celebrating one of their best-ever starts to a year while technology and growth funds rack up double-digit losses.
俄羅斯入侵烏克蘭和通脹上升引發的市場動蕩,在對沖基金行業引發了嚴重分化。宏觀對沖基金今年迎來了有史以來最好的開局之一,而科技和成長型基金則出現了兩位數的虧損。
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