Nomura has reduced its exposure to countries in the eurozone periphery by 75 per cent in the past two months in a move that highlights concerns about the growing risk of holding eurozone periphery government debt amid the region’s crisis.
野村证券(Nomura)在过去两个月将其对欧元区外围国家主权债务的敞口降低了75%,此举凸显其担忧:在这场危机中持有欧元区外围国家国债的风险日益升高。
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