1.
Applications of multivariate GARCH models in the study of volatility transmission of Chinese corporate bonds;
多元GARCH模型在国内企业债券波动传递研究中的应用
2.
Bond Market,the Volatility of Interest Rate and Risk Analysis;

债券市场、利率波动及风险成因探究
3.
On the Asymmetry Fluctuation of Price in Chinese Bond Market;

我国债券市场价格非对称性波动研究
4.
On the Price Volatility Rate of Bond Market;

交易所债券市场价格波动率特性研究
5.
Comparison of Volatility between Exchange and Interbank Bond Markets;

交易所债券市场与银行间债券市场波动性比较研究
6.
Market interest rates fluctuate and may differ from the contract rate on a bond.

市场利率上下波动,可能不等于债券的约定利率。
7.
Analysis on the Volatility of Rate in Chinese Inter-Bank Bond Market;

银行间债券市场回购利率的波动性分析
8.
On Price Movement of Chinese Bond Market;

我国债券市场价格波动的均衡与因果分析
9.
Thus, the market value of a convertible bond tends to fluctuate with the market value of an equivalent number of shares of common stock.
因此,可转换债券的市价会随等值的普通股的市价波动而波动。
10.
These are called variable rate bonds or floating rate notes (FRN).

这类债券称为“浮动利率债券”。
11.
If you hold a bond to maturity, price fluctuations don't matter.

如果你持有债券一直到到期日,那价格的波动问题不大。
12.
Price Volatility and Return Conintegration on the Exchange Bond Market;

交易所债券市场价格波动率特性及收益协整性研究
13.
Research on Volatility in Enterprise Bond Markets--Empirical Analysis with the ARMA-GARCH Model;
企业债券市场波动性研究——基于ARMA-GARCH模型的实证分析
14.
The Effect of Bond Price Fluctuation on Bank Risks:Theoretical and Empirical Analysis;

债券价格波动对银行风险影响的理论及经验分析
15.
ARCH/GARCH Models for Rate in China Inter-Bank Bond Market and Analysis on Its Volatility;
银行间债券市场回购利率的ARCH/GARCH模型及其波动性分析
16.
Securities lending allows temporarily illiquid securities to be loaned to investors.

债券借贷将本来暂时不流动的债券出借给需要债券的投资者。
17.
funding and real mortgage bonds

投资公债和不动产抵押债券
18.
On-the-Run and Off-the-Run Treasury Market Liquidity;

国债市场新券和旧券流动性实证研究