bond duration 中文意思是什麼

bond duration 解釋
債券期限
  • bond : n 1 結合(物),結合力,黏合(劑),聯結。2 束縛,羈絆; 〈pl 〉 拘束;鐐,銬。3 契約,契約義務,...
  • duration : n. 1. 持久,持續。2. 持續時間,存在時間;期間。adj. -al
  1. Under this circumstance, our treasury bond market exits lots of shortfalls which impede further development for this market. in this essay, combining with the experience in developing country " s experience, it analyses some challenges which confronted chinese bond market, such as liquidity in the interbank market has yet to be improved, duration in bond products are yet to be rational, a sound yield curve is yet to be take shape, the separation between exchange and interbank yet to be broken. in order to solving above issues, this essay suggests that it should develop market maker system to increase market liquidity ; manage balanced treasury bond ; issue short and long term treasury bond in proportion to improve duration and yield curve ; develop bond derivative products such as future trading, open style repurchasement, so it can provides tools for risk protection

    但隨著我國經濟的快速發展,金融市場已今非昔比,中國成為了世貿組織的成員,中國資本市場要走向國際化,利率的市場化是大勢所趨,在此前提下,我國國債市場還存在著很多不足,越來越阻礙著國債市場的進一步發展,本文結合世界發達國家的先進經驗,剖析了我國國債市場存在的一些問題如:流動性有待改善、國債期限結構不合理、無法形成科學合理的益率曲線、交易所市場與銀行間市場割裂等,為解決這些問題,本文建議應發展做市商制度以提高市場流動性;實施國債余額管理,發行短期國債及長期國債,改善國債期限結構,以形成科學合理的收益率曲線;發展債券衍生金融創新工具如國債期貨交易、開放式回購等,為投資者提供避險工具等等。
  2. The authors suggest to control the sharpness and duration of the saw blade by alternating the metal bond matrix formula as well as the grit size and strength of the diamond

    提出通過改變配方中的金屬粉比例及金剛石的粒度、強度來調節刀頭的鋒利性和耐用度。
  3. And the molecule has amido bond and adsorb hydroxyl of polyphenol molecule to form hydrogen bond, therefore it can uses as stabilizer of beer, ratafee and potable spirit, prolong the quality guarantee duration to 300 days, and also can improve the transparence, color and taste

    應用最廣的是片劑顆粒劑的粘合劑。 pvp還可用作膠囊的助流劑,眼藥的去毒劑及潤滑劑,注射劑的助溶劑,液體制劑的分散劑,酶及熱敏藥物的穩定劑。
  4. Measuring of market risks was generalized into beta coefficient, duration and convexity of bond risks, delta and var approach. methods of measuring credit risks were classified into classic models and modern credit measuring model. kmv model and creditmetrics model are the two most popular models in western countries

    將市場風險的度量方法歸納為股票的風險度量beta系數,債券風險的度量持續期和凸性,金融衍生工具風險的度量delta等指標以及綜合度量市場風險的var方法;將信用風險的度量方法歸納為古典模型(專家制度和z計分模型)和現代信用風險度量模型(信用度量制模型等) 。
  5. Therefore some bond investors tend to reduce the duration, or the average remaining maturity, of their bond portfolio in times of rising interest rates

    因此,部分債券投資者在利息上升期間會嘗試縮短其債券組合的期限,亦即平均剩餘期限。
  6. In the second half of 1997, the hkma extended the duration of the bond holdings as markets improved

    年下半年,由於市況改善,金管局稍為增持期限較長的債券。
  7. The obvious advantage of this system is to measure the employees " achievements by the fluctuation of the stock price. in fact, stock option is a financial bond option, which has history of short duration

    股票期權是金融證券期權的一種,其歷史較為短暫,但商品期權的歷史可以追溯到公元前1200年的古希臘人和古腓尼基國商人的交易中。
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