原文意思是现在European Union (EU) 市场负利率,因为欧洲央行的量化宽松政策。主人公打算买一些证券outside of the EU market获取额外收益,但是担心的是买 developed or emerging markets. 以下三个建议,哪个正确?
First, he should evaluate whether the spread advantage is negated by the cost of a currency hedge.
Second, he should avoid local currency investments in countries where the exchange rate is pegged.
Third, he should ensure that the timing of the credit cycles across markets coincides.
以上三个选项均不太理解,请解答,谢谢!