It represent in the model setup with the linear complete transfer and the minimum risk of loans portfolio as the target function and the constraint of earning yield risk value.
具体表现为运用线性完备变换方法,以贷款组合风险最小为目标函数,以贷款组合期望收益率为约束条件建立模型。
They ought to demand extra yield as compensation for the risk.
所以,他们需要寻求额外的收益来作为这一风险的补偿。
Because of the big rally in junk and other distressed bonds, corporate issues are trading at higher prices, which means you get less yield and more risk.
垃圾债券大幅度升值,其他减值债券,公司票据都在高位交易,这就意味着你的收益在减少,而风险在增加。
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