s&p 500 profit margin Reuters quoted societe generale (601166, shares) head of U.S. rates strategy Subadra Rajappa, said over the past few sessions, is the tax factors driving bond yields and higher risk assets. And strong economic data usually drag down the bond market. It goes without saying that the overall objective of foreign exchange investment is to achieve the greatest possible benefit of risk. As in any other venture capital, "earnings" is a function of the time required, which is not measured in terms of the monetary gain. A small profit in two or three days means that the deal is a success. On the other hand, this small interest will not be available for two or three months, even if it is a 100% profit, and it may not necessarily be cost-effective from the point of view of time. The value was originally derived from the special material system, the preordering movement of dissipative structure, and the "ordering energy" was the original "value". With the continuous evolution of human beings, "ordering energy" further developed into "generalized and orderly energy", which gradually became the real human value. In a word, the value is derived from the nature, and with the evolution of the human evolution, the development of the society, the development trend of value of ultimate principle is only the movement of the material world and labor of human society. The report also supports the government's plan to cut its annual budget deficit this year. Point 2: look at the mortgage. The p2p platform is a credit loan or a mortgage. If it is a mortgage, it depends on what the mortgage is mainly, such as real estate, vehicles, etc., the loan risk of the mortgaged property is much smaller than the credit loan. If there is a risk, the company will sell the mortgage of the borrower to the investor. Wealth managers say that not only the collateral, but also the mortgage rate, which is the percentage of the value of the debt and the collateral. The mortgage rate is mainly to prevent the mortgage from not sufficient to cover the debt. If it is not, the risk of investment will increase and the situation of repeated mortgage will be avoided.