| 标题 |
Coping with the Risk of Interest-Rate Fluc⁃ tuations: Returns to Bondholders from Naïve and Optimal Strategies
应对利率波动风险:天真策略和最优策略对债券持有人的回报
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| 网址 |
求助人暂未提供
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| DOI |
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| 其它 | L. Fisher,R. L. Weil. Coping with the Risk of Interest-Rate Fluctuations: Returns to Bondholders from Naïve and Optimal Strategies[J].The Journal of Business,1971,44(4):408-431. |
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(2025-6-4)