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本文以在沪深交易所上市交易的国债、企业债券和国债回购品种为研究对象,分析研究影响市场利率变动的因素,判断中国债券市场投资价值与投资风险,解读人们对债券投资认识的误区。
This article takes the national debt, the corporate bond and the repurchase of national debt listed on the Shanghai and Shenzhen Stock Exchanges as the research objects, analyzes and studies the factors that affect the market interest rate changes, judges the investment value and investment risk in the Chinese bond market, and interprets the misunderstanding of the bond investment .