high-yield bond
英 [haɪ jiːld bɒnd]
美 [haɪ jiːld bɑːnd]
网络 高收益债券
英英释义
noun
- a (speculative) bond with a credit rating of BB or lower
双语例句
- The general theme in credit so far in2011 has been the strong performance in high-yield corporate bond issues, relative to investment grade issues.
投资级方面来说,今年以来的债市主题一直是高收益企业债的强劲表现。 - High-yield bond and loan investors have shunned new debt sales so far this month, extending a buyers 'strike for risky assets into the traditionally busy first week of September as concerns linger over the shaky state of the credit markets.
高收益债券和贷款投资者本月迄今为止一直回避新债销售,将买方对风险资产的回避延续到了9月份的第1周,原因是市场对于信贷市场动荡状况的担忧仍挥之不去。 - Garth Noonan, managing director in high-yield capital markets at Merrill Lynch said that while high-yield bond and loan supply was strong, it would not be enough to sate demand.
美林(merrilllynch)高收益率资本市场董事总经理加思努南(garthnoonan)表示,尽管高收益率债券和贷款供应充裕,但仍不足以满足需求。 - A big source for refinancing in Europe was the high-yield bond market, which has been closed since July, the longest closure since 2003.
在欧洲,高收益债券市场曾是再融资的一大来源,但该市场自去年7月以来一直关闭,成为2003年以来最长的闭市期。 - For many investors, the focus of concern is the high-yield, or junk, bond market, where the riskiest borrowers come to raise funds.
对于很多投资者而言,主要的担心在于高收益率债券(即垃圾债券)市场。风险最高的借款者会在该市场融资。 - This all suggests that it will only be when there are clear signs of revival in the US securitisation markets and the European high-yield bond market that it will be possible to say with confidence that the financial crisis is nearing its end.
这些都表明,只有当美国证券化市场和欧洲高收益债券市场出现明确的复苏迹象时,人们才可能自信地说:金融危机即将结束。 - Clients have reacted accordingly: EPFR Global says that$ 14.9 billion was withdrawn from high-yield bond funds in the third quarter.
客户们因此做出反应:EPFR环球声称第三季度有149亿美元撤出了高收益率债券基金。 - Global high-yield corporate bond issuance hit a record in 2012.
2012年,全球高收益率公司债发行规模创下历史新高。 - Although hardly any deals were done in the first three months of this year, high-yield bond issues in 2009 have still brought in$ 171bn.
尽管今年头三个月几乎没有任何发行交易,但2009年高收益率债券的发行仍筹集了1710亿美元资金。 - The factors influencing the credit risk of corporate bonds, municipal bonds, and high-yield bonds include macro factors, regional factors, bond factors, financial factors and other factors.
目前,学术界所研究的企业债券、市政债券和高收益债券信用利差的影响因素主要包括宏观因素、区域因素、债券自身因素、财务因素和其他因素。