八八字典>英语词典>index-linked翻译和用法

index-linked

英 [ˌɪndeks ˈlɪŋkt]

美 [ˌɪndeks ˈlɪŋkt]

adj.  按生活指数调整的

牛津词典

    adj.

    • 按生活指数调整的
      rising in value according to increases in the cost of living

      柯林斯词典

      • (养老金或报酬)与通货膨胀(或生活成本)挂钩的
        Index-linkedpensions or payments change as inflation or the cost of living changes.

        双语例句

        • He explained that some utilities were selling coal index-linked further out and buying back cargoes on a fixed price basis.
          他解释说一些公共机构正在出售和煤炭指数相关的远期交易而以固定的价格回购货物。
        • Perhaps this should not really be called a bubble because the protection offered by index-linked is invaluable if you fear the worst, even if the security offers a negative real return.
          或许,这其实不应被称为泡沫,因为如果投资者担心最糟糕情况,那么物价指数型产品提供的保护将是无价的,即使证券本身的实际回报率为负。
        • Incredibly yields on index-linked bonds were close to zero in the US, 0.12 per cent in Germany and 0.27 per cent in the UK.
          令人难以置信的是,在美国,指数挂钩债券的收益率接近于零;德国为0.12%,英国为0.27%。
        • The Theory and Practice of Index-linked Bond
          指数化债券的理论与实践
        • As measured by index-linked gilts, they fell from about 4 per cent before 1997, to about 2 per cent between 1999 ( after the Asian financial crisis) and 2007, and then towards zero ( in the aftermath of the western financial crisis).
          以通胀挂钩债券衡量,它们的收益率从1997年以前的4%左右,降至1999年(亚洲金融危机爆发之后)至2007年间的2%左右,随后又降至接近零的水平(西方金融危机爆发之后)。
        • This tracks index-linked gilts.
          上述ETF追踪与指数关联的金边债券。
        • Index-linked financial product based on two kinds of investors
          针对两类投资者的指数连结型金融产品
        • Data on conventional and index-linked gilts suggest a modest worsening of inflation expectations, though not one sufficient to justify a tightening.
          关于常规英国国债和通胀指数挂钩型英国国债的数据显示,通胀预期略有恶化,尽管还不至于为此出台紧缩。
        • That seems right: inflation expectations, as revealed by rates on index-linked US debt, are very low.
          这似乎是正确的:正如与指数挂钩的美国债券利率所显示的,通胀预期非常低。
        • The market risk can be mainly managed by using historical simulation method to forecast index-linked financial products trend, and then to predict the future volatility of financial products.
          对于市场风险的管理,主要是依靠历史模拟法对理财产品挂钩的指数进行趋势预测,进而预测未来理财产品的收益波动,以此为依据进行市场风险管理。