不利的风险一方面在于全球经济的走势和失衡问题以及可能影响欧元区的溢出效应。
On the one hand, these risks relate to developments and imbalances in the global economy and their possible spillovers to the euro area.
两个市场的风险溢酬相关性和股票指数价格相关性十分接近,且存在明显的溢出效应。
S. market is closed to that of stock markets and where significant price spillover effect exists.
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