代写论文:债券市场

大学论文代写

代写论文:债券市场

这篇文章写在美国总统大选后。这是一个意想不到的结果,笔者试图确定债券市场的含义是美国总统所做的叙述的结果。与债券有关的股市遭受了超过1万亿美元的损失。市场中出现的主要情绪是总统将在基础设施方面花费更多,这会增加经济增长和通货膨胀。这对股票来说是一个很好的信号,对政府发行的债券市场不利。然而,Abramowicz指出,购买股票的主要理由是股票是由正常的需求和股息支付提供的。然而,这些动态在修辞中转移了。新当选的总统没有提供有关刺激计划一揽子计划的细节,因此,人们并没有意识到这些影响。不过,提交人指出,投资者会希望获得安全。在这个模式中,随着投资股权的增加,债券将开始成为一个安全的投资过程。

代写论文:债券市场

This article was written post the American Presidential Election. It was an unexpected result and the author was trying to determine the implication of the Bond market as the result of the narrative taken by the American President. The stock market related to bonds had suffered over $1-trillion (U.S.) loss. The main sentiment which was present in the markets was that the President would spend more on infrastructure and this would increase growth and inflation. This is a good signal for the stock and it is bad for the government issued bond markets. However, Abramowicz states that the main argument for the buying of stocks is that the equities are provided by the regular demand and dividend payment. These dynamics had however shifted in the rhetoric. The newly elected President had not given the details about the stimulus plan package, and owing to this, the people were not aware of the implications. Nevertheless, the author states that the investors would want safety. In this schema, the bonds will start to be a safe process of investment as there is a rise in the equity of the investment.