日本基金经理4月偏好欧元区债券
关键字:日本基金经理、欧元区债券
据路透社调查显示,日本基金经理4月下调资产组合中的股票配比,调高债券配比,因担忧乌克兰紧张局势及美国进一步缩减货币刺激措施的影响。基金经理表示,股市面临一些潜在风险,包括西方与俄罗斯就乌克兰问题对峙的升级以及中国经济放缓。基金经理人将欧元区债券的持有比重增至24.7%,重返欧债危机爆发前2011年的水准。
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本文来源: 大田环球贵金属
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