最大的问题是现在他们是否会像日本一样,将收益率稳定在1 - 2%的范围内。
The big question is whether they will now stabilise, as Japanese yields did, in the 1-2% range.
针对各种不同的金融背景,建立了一系列金融网络中揭示收益率稳定性及其变化规律的差分方程模型。
Corresponding to various different financial backgrounds, a series of difference equation models are built up to reveal the stability and laws of the rate of return in the financial network.
日前,国债收益率的下降便表明市场已经趋于稳定,只是对市场的信心还需要重建。
The decrease in yields today is a sign that the market is calming down, but confidence remains in doubt.
At least in the domestic equity world you've got a pretty stable base that you were looking at ten years ago.
至少对于国内股市来说,当你回顾10年前的收益率,会得到一个非常稳定的基准数字
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