Read what you choose into the gyrating US stock market. Blame, if you like, the dysfunction in Washington and the unsatisfying deal that led Standard & Poor’s to remove America’s triple A rating. Or worry about Europe, lurching from one phase of its sovereign debt crisis to another. And of course, many investors fear that torrid growth in emerging market countries is slowing quickly.
为动荡的美国股市找一个原因吧。如果你愿意的话,可以将其归咎于华盛顿的失责,还有导致标准普尔(Standard & Poor’s)取消美国AAA评级的引人不满的债务上限协议。或者是对欧洲的担忧,它正从主权债务危机的一个阶段蹒跚着走向另一个阶段。当然,还有许多投资者担心新兴市场国家的强劲增长正迅速降温。
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