1. Non diversified portofolio, 造成concentrated risk.
2. 沒有足夠的risk management。連CRO都缺失了一段時間。利率高漲後,應該HEDGE risk,這些都沒有做。
3. CEO越發言,越引起short 潤。
1. Non diversified portofolio, 造成concentrated risk.
2. 沒有足夠的risk management。連CRO都缺失了一段時間。利率高漲後,應該HEDGE risk,這些都沒有做。
3. CEO越發言,越引起short 潤。
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