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学习笔记|再投资风险 (Reinvestment Risk)

学习笔记|再投资风险 (Reinvestment Risk)

作者: 稷山云 | 来源:发表于2019-04-12 16:34 被阅读0次

    再投资风险 (Reinvestment Risk) 

    这是债券的一个风险。是股权和债券之间的差异之一。

    This is the risk which relates to bond. One of the differences between equity and bond. 

    定义:

    再投资风险是指债券持有者在持有期间收到的利息收入、到期时收到的本息、出售时得到的资本收益等,用于再投资所能实现的报酬,可能会低于当初购买该债券时的收益率。

    Reinvestment risk is the risk that future cash flows – either coupons (the periodic interest payments on the bond) or the final return of principal – will need to be reinvested in lower-yielding securities.

    Reinvestment risk is more likely when interest rates are declining. Reinvestment risk affects the yield-to- maturity of a bond, which is calculated on the premise that all future coupon payments will be reinvested at the interest rate in effect when the bond was first purchased.

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