債券定價與風險管理詳述(ppt 95頁)
債券定價與風險管理詳述(ppt 95頁)內容簡介
債券定價與風險管理詳述目錄:
1. Bond analysis
1.1 Capitalization of Income Method of Value
1.2 Bond attributes
1.3. Yield spread 的確定
1.4 預測違約的財務比(financial ratio)
1.5. 債券定價
2. Fixed-income portfolio management
2.1. Convexity
2.2 Duration
2.3 Passive bond management
2.4 Active bond management
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1. Bond analysis
1.1 Capitalization of Income Method of Value
1.2 Bond attributes
1.3. Yield spread 的確定
1.4 預測違約的財務比(financial ratio)
1.5. 債券定價
2. Fixed-income portfolio management
2.1. Convexity
2.2 Duration
2.3 Passive bond management
2.4 Active bond management
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