Yield to maturity - Übersetzung nach arabisch
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Yield to maturity - Übersetzung nach arabisch

THE DISCOUNT RATE AT WHICH THE SUM OF ALL FUTURE CASH FLOWS FROM A BOND (COUPONS AND PRINCIPAL) IS EQUAL TO THE PRICE OF THE BOND
Yield to Worst; Yield to Maturity; Redemption yield; Book yield; Subscriber Yield

Yield to maturity         
عائد عند الاستحقاق
Maturity Date         
DATE ON WHICH THE FINAL PAYMENT IS DUE ON A LOAN OR OTHER FINANCIAL INSTRUMENT
Maturity date; Tenor (finance); Maturities; Termination date; Fixed maturity
تاريخ الاستحقاق
Maturity date         
DATE ON WHICH THE FINAL PAYMENT IS DUE ON A LOAN OR OTHER FINANCIAL INSTRUMENT
Maturity date; Tenor (finance); Maturities; Termination date; Fixed maturity
تاريخ اَلِاسْتِحْقَاق ، موعد الاستحقاق

Definition

junk bond
¦ noun a high-yielding high-risk security, typically issued to finance a takeover.

Wikipedia

Yield to maturity

The yield to maturity (YTM), book yield or redemption yield of a bond or other fixed-interest security, such as gilts, is an estimate of the total rate of return anticipated to be earned by an investor who buys a bond at a given market price, holds it to maturity, and receives all interest payments and the capital redemption on schedule. It is the (theoretical) internal rate of return (IRR, overall interest rate): the discount rate at which the present value of all future cash flows from the bond (coupons and principal) is equal to the current price of the bond. The YTM is often given in terms of Annual Percentage Rate (A.P.R.), but more often market convention is followed. In a number of major markets (such as gilts) the convention is to quote annualized yields with semi-annual compounding (see compound interest); thus, for example, an annual effective yield of 10.25% would be quoted as 10.00%, because 1.05 × 1.05 = 1.1025 and 2 × 5 = 10.

Beispiele aus Textkorpus für Yield to maturity
1. The yield to maturity on long–term Shahars is now about 5.'5 percent.
2. It is expected to carry a coupon of 3 percent and a yield to maturity of 4.13 percent to 4.63 percent.
3. At the time the bond was yielding 7% a year and its duration was five years. (Duration is the weighted average maturity of a bond‘s cash flows.) At the time, we evaluated the bond in the usual terms: yield to maturity, duration, investment grade and risk premium over comparable government bonds.
4. At that price, the yield to maturity could be heavy, say for the sake of argument – 50%. The duration may shorten to two years (because of the heavy weight of interest payments when calculating duration.) But that doesn‘t mean anything anymore.
5. Their yield to maturity is now 5.3%. Comparable U.S. treasury bills are yielding just 1.6%. That is a spread of 3.7% even though GE is the biggest holding company in the world and in October raised $12 billion through an offering of preferred shares to a group of top–tier investors, including Warren Buffett‘s Berkshire Hathaway.