Four years into the financial crisis, an investment strategy where debt is being piled on top of debt might seem a risky approach similar to the leveraged world of the pre-2007 bubble years.
我們陷入金融危機已有四個年頭。今天,債上舉債的投資策略似乎是一種高風險的策略,如同2007年前泡沫時代的杠桿化世界一樣。
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