因此,如何规避风险成为企业利用期权债券筹资所需要解决的重点问题。
So how to avoid risk has become key issues for enterprises to raise funds with option bonds.
这一新的模型展示了如何从股票与债券的已知价格行为中推导期权价格的方法。
The new model showed how to work out an option price from the known price-behaviour of a share and a bond.
股票、期权、共同基金和债券都是不同的服务,它们需要不同的工具来处理订单。
Stocks, options, mutual funds, and bonds are all different services that require different tools to process orders.
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