Officials responsible for the world’s biggest economies must be “vigilant” to the risks posed by high debt levels, volatile commodities markets and deeper-than-expected scarring from the Covid-19 pandemic, the world’s most influential regulator has warned.
全球最具影響力的監管機構警告稱,負責全球大型經濟體的官員必須“警惕”高債務水平、大宗商品市場波動以及新冠疫情造成的創傷超出預期所構成的風險。
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