14. 注意答案中的一句话, In contrast, high-yield portfolio managers are more likely to focus on credit risk and less likely to focus on interest rate and yield curve dynamics.所以B选项它又说反了。
总结的说 投资级别的债券,我们更看重收益率,以及收益率改变对它的影响。
垃圾债,看重的是credit risk,credit spread对垃圾债的影响。