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1.
Study on the optimal Model for Fund Raising by Combining Loans and Bonds
贷款、债券组合筹资优化模型研究
2.
A Study of Dynamic Hedging Techniques for Bond Portfolios;
交易所债券组合动态套期保值策略研究
3.
b. Managing Bond Portfolios
b. 债券投资组合管理
4.
Fixed income funds invest in some combination of treasury bills, debentures, bonds, and mortgages.
固定收入基金投资一些国库券、府债券、业债券和抵押证券的组合。
5.
THE STATUS AND FUNCTION OF CORPORATE BONDS 在投资组合中的地位和作用 IN INVESTMENT PORTFOLIO;
企业债券在投资组合中的地位和作用
6.
set of investments(eg stocks and shares)owned by a person,bank,etc
(个人、银行等所有的)投资组合(如债券和股票)
7.
The Investment Analysis and Portfolio Management on China s Convertible Bond;
我国可转换债券的投资分析和组合管理
8.
The International Bond Market is made up of two components--the foreign bond market and the Euro-bond market.
国际债券市场是由两部分组成:国外债券市场和欧洲债券市
9.
qualifying and special debt securities
合资格及特别债务证券
10.
Bonds sell at a premium when the contract interest rate on the bond exceeds the market rate for similar bonds.
当债券的合同利率高于相似债券的市场利率时,债券溢价发行。
11.
These are invested mainly in the OECD bonds and equities.
这些资产主要投资于经济合作及发展组织的债券与股票市
12.
Optimal Decision of Risk Diversification and Currency Hedging in International Bond Portfolio Investments
国际组合债券投资的最优风险分散与套期保值决策方法
13.
Pricing Bond and Options under Jump-Diffusion Combined Model within Two-factor Market Structure;
双因素市场结构跳扩散组合模型的债券和期权定价
14.
Bonds are traded through organized markets, such as the New York Exchange.
债券通过组织化市场交易,如纽约证券交易所。
15.
Study on the System of Organization Administration in Commercial Banks Bond Business
商业银行债券业务组织管理体系研究
16.
yields on Bonds/securities
债券(证券)的收益
17.
A good grasp of these two concepts enables a fixed income investor to tailor the maturity profile of his portfolio to his expectations of future interest rates.
掌握这两个概念,将能让投资者根据自己对利率走势的看法决定投资组合的组成债券。
18.
Zero Coupon Bond
零息债券、无息债券