可转债风险收益指标_试用 (cn_cbond_risk_return_trial)
数据描述: 试用数据,历史范围:2023-01-01至2023-12-31
文档
用例
表结构
字段 | 字段类型 | 字段描述 |
instrument | string | - |
ytm | double | - |
duration | double | - |
cash_flow | double | - |
convexity | double | - |
strike_ytm | double | - |
resale_yield | double | - |
basic_duration | double | - |
first_pay_date | timestamp[ns] | - |
date | timestamp[ns] | - |
strike_duration | double | - |
accrued_interest | double | - |
base_point_value | double | - |
next_strike_date | timestamp[ns] | - |
redemption_yield | double | - |
modified_duration | double | - |
wgt_surplus_limit | double | - |
interest_cash_flow | double | - |
surplus_limit_days | double | - |
surplus_limit_year | double | - |
theory_strike_date | timestamp[ns] | - |
lastest_price_to_ai | double | - |
principal_cash_flow | double | - |
next_total_cash_flow | double | - |
resale_daily_duration | double | - |
special_surplus_limit | double | - |
next_interest_pay_date | timestamp[ns] | - |
prev_interest_pay_date | timestamp[ns] | - |
resale_daily_convexity | double | - |
interest_acctualed_days | double | - |
next_dividend_cash_flow | double | - |
rb_strike_surplus_years | double | - |
csi_implied_default_ratio | double | - |
wgt_surplus_limit_principal | double | - |
days_to_next_interest_pay_date | double | - |
spread_duration | double | - |
表名cn_cbond_risk_return_trial
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