金融市场参与者比较比外币结算不同货币的预期收益率工具.预期名义收益率(在外投资)=国外利率+汇率变化-未来不确定利率风险调整.预期实际收益包括一个两国预期膨胀的调整参数.等式的利率调整在两国的预期膨胀和汇率风险调整之后,使两国收益平衡
英语翻译Financial market participants compare expected rates of
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