bond risk premium
基本解释
- [经济学]债券风险溢酬
英汉例句
- As a new financial instrument, the risk premium of CAT bond has been much higher than that of traditional bonds with same credit rating since its issue.
作为一种新型金融工具,巨灾风险债券自发行以来所附带的风险收益就远高于同等级传统债券的收益。 - Aware of the seasonality of risk premium, We also concludes that long-term bond investment can bring higher return if we can identify the turning point of risk premium.
我们同时考察了风险溢酬的周期性,提出在能够识别周期性拐点的情况下,长期债券的投资收益将高于短期债券。 - At any sign of that risk materializing, foreign investors could demand a risk premium on dollar assets—including pushing bond yields higher and with more volatility than current market expectations.
一旦出现任何已经存在这种风险的迹象,外国投资者就会要求对美元资产进行风险贴水----包括提高债券收益和市场预期出现比目前更大的波动。
61.145.69.7 - The emerging markets bond, with its risk premium, is up 3.39% and the US Treasury bond fund is up 0.54%.
FORBES: Oppenheimer's Main Street Case for Emerging Market Bonds - Another risk is if an investor buys a premium priced bond and the borrower prepays by refinancing or selling the home then the Note is paid back at par and the investor loses the premium.
FORBES: A Haven From A Eurozone Crash: Investment Grade Bonds - Bonds pay interest based on the expected inflation rate until maturity, plus a fair risk premium over inflation based on the riskiness of the bond.
FORBES: How To Harness The Power Of Passive Investing
双语例句
权威例句
专业释义
- 债券风险溢酬