The dollar surged and government bonds rallied on Monday, while stock markets tumbled, as traders considered the prospect of further aggressive interest rate rises in the US and intensifying recession risk in Europe.
周一,美元大漲,政府債券回升,而股市則下跌,因為交易商考慮到美國進一步激進加息的前景和歐洲經濟衰退風險的加劇。
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