Rising worries over a global recession, the unwinding of trades made by hedge funds with borrowed money and instability in emerging economies combined to trigger forced selling in loan, bond and credit derivatives markets.
對全球經濟衰退的擔憂加劇,對沖基金用借入資金達成的交易逐漸解除,以及新興經濟體的不穩定,這些因素結合在一起,在貸款、債券和信用衍生品市場引發了被迫拋售。
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