Hedge funds are scooping up Russian and Ukrainian assets after sharp declines since last autumn, while institutional investors stay clear as they view the intensifying political risks as too hot to handle.
對沖基金正在紛紛買入自去年秋季以來大幅下跌的俄羅斯和烏克蘭資產,而機構投資者仍然回避這些資產,認為日益加劇的政治風險太大而難以承受。
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