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Bank Default Risk Spreads to Europe
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Man Group's portfolio manager, Jonathan Golan, cautions about the risk of bank defaults spreading from the US to Europe, emphasizing the potential for trouble in the banking sector.
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How does the warning from Man Group's portfolio manager reflect the broader trends and challenges in the global financial industry?
How might the potential defaults in the banking sector impact global financial stability and investor confidence?
What measures can governments and financial institutions take to address the risk of bank defaults and safeguard the stability of the banking sector?
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