不同的单位毛利导致不同的企业收益波动规律。
The difference of unit contribution margin will lead to the different wavy rule of business income.
将市场比较法与收益法结合起来,可以得到一个新的收益波动模型。
A new income fluctuation model will be attained if the market approach and the income approach are integrated together.
结果表明:在企业收益波动程度方面,期间成本和债息的使用产生了类似的结果。
The result shows that the period cost and the interest yield similar results in the business income wave.
用五分钟高频数据对我国股市的周末效应进行检验后,发现我国股市在周一的收益波动率最大。
After testing on weekday affect using the high frequency data, it is found that in Monday the return volatility of China stock market is the highest.
论文用重标极差分析方法证明了中国股票收益波动的自相似性,长期记忆性和初始条件敏感性。
We use rescaled range analysis to demonstrate that there are self-similarity, long memory and sensitive to initial value in the time series of Chinese stock returns.
国库券利率与商业票据、存款证等有密切的关系,国库券期货可为其它凭证在收益波动时提供套期保值。
Treasury bonds and commercial paper, card deposit has a close relationship, such as Treasury bonds futures to provide other documents when the earnings volatility hedging.
这一点很重要,尤其是因为,正如摩根斯坦利自己的分析师指出的那样,你自己持有越庞大的固定资产,你的收益波动越小。
That matters not least because, as Morgan Stanley's own analysts point out, the bigger you are in fixed income, the less volatile your returns.
尽管股票价格和收益上下波动的很厉害,但是红利是比较稳定可靠的,按实值计算从波峰跌落到波谷也就十分之一的差距。
Although stock prices and earnings move up and down violently, dividends have been more reliable, typically falling from the peak of a cycle to its trough by only one-tenth in real terms.
然而对于在过去两年的市场波动里伤痕累累的投资者来说,比起大的收益,他们现在更加关注稳定的业绩。
Yet investors who have been scarred by the volatility of the past two years may now care more about stable performance than big returns.
收益管理的“最佳做法”包括市场数据汇总及分析,酒店可以依此预测市场波动情况;你的网站应该显示这些变化。
Revenue management "best practices" includes the collection and analysis of market data and allows hotels to anticipate fluctuations in the market; your website should reflect these opportunities.
债券具有提供稳定收益的优点,目前的债券收益率非常高;债券和股票相比,其价格波动小;而且对公司资产具有更高的法律索偿权。
Bonds have the merit of providing steady income, at rates that are now very high; they tend to be less volatile than stocks; and they have a higher legal claim on a company's assets.
这个方案是为了弥补先前提出承诺的细节,以缓解市场波动,也是为了抑制国债收益率差的继续扩大。
This came in response to market jitters about the lack of detail in previous commitments and a jump in spreads on Greek government debt.
隔夜美债走势波动,30年期美国国债收益率上升8个基点。
In volatile overnight trading, the yield on 30-year bonds rose 8 basis points.
你可以看到,股票市场波动性大于其收益,每股价格往往是,每股收益的几倍之多。
You can see that the stock market has been more volatile than the earnings and the price of a share is many times higher than the earnings per share.
大多数对风险的测量,例如股票市场波动或者公司和上升市场债券的收益率差(超额收益),都显示它很低。
Most measures of risk, such as stockmarket volatility or the spread (extra yield) on corporate and emerging-market bonds are low.
与普通股价格不同,债券收益率的平均值终究会恢复,这就意味着它们会围绕其历史平均值上下波动。
Unlike equity prices, bond yields mean revert over time, meaning they rise and fall around their historical average.
收益则是一种由会计得出的理论概念,会因不同的调整而上下波动。
Earnings "is kind of a theoretical concept that accountants work on and it can go up and down depending on adjustments they make."
商品和欧元暴跌,交易者抢购安全的国债,促使收益越来越低,一个衡量市场波动和投资者的恐慎程度的关键指标受挫。
Traders snapped up safe-haven Treasurys, pushing yields ever lower. And a key measure of volatility and investor fears spiked.
结果表明税率调整对噪音交易收益的波动性有一定的影响。
Results show stamp tax adjustment has an effect on the volatility of noise trade.
在这种压力下,日本国债的收益在两个百分点上波动着,其损失的一级资本和二级资本必须控制在20%之内。
Under a stressed scenario in which JGB yields move up or down by two percentage points, the loss the Banks would suffer must not exceed 20% of Tier-1 and Tier-2 capital.
美国国债收益率曲线有颇大的波动幅度(与此相对应,国债的价格也经常发生变化),而且这将反过来作用于基准收益率曲线(benchmarks yield curve)。 此外,债券的价格也是以收益率曲线作为标准的。
The U.S. treasury yields are volatile (and correspondingly, the treasury prices), and this would in turn have an impact on the benchmark yield curve, and bonds that are priced off these benchmarks.
因各公司相继上交了收益报告,今天华尔街股市早盘有所波动。
Stocks wavered in an early trading today on Wall Street as companies turned in a mix-batch of earnings report.
商品和欧元暴跌,交易者抢购安全的国债,促使收益越来越低,一个衡量市场波动和投资者的恐慎程度的关键指标受挫。
Commodities plunged and the euro tumbled. Traders snapped up safe-haven Treasurys, pushing yields ever lower. And a key measure of volatility and investor fears spiked.
采用基于广义误差分布的GARCH类模型,对上海证券市场的收益和波动进行分阶段研究。
Based on Generalized Error Distribution, this paper analyses the stock profit and volatility in Shanghai stock market at different stages, using the family of GARCH models.
从分整特性的新视角,利用KPSS检验和LW检验对我国股市收益及其波动的记忆性特征进行了深入研究。
Standing on the new viewpoint of fractional integration, KPSS test and LW test can find long memory of return and its volatility in Chinese stock market.
这篇论文目的是考察在中国股票市场中,股票市场收益率的条件波动率与宏观经济变量的条件波动率之间的相关程度。
The paper examines the extent to which the conditional volatility of stock market returns in Chinese stock markets is related to the conditional volatility of financial and business cycle variables.
电力市场中各类市场具有不同的价格波动特性和收益率随机变化特性。
In electricity market, the different markets have different price fluctuation and stochastic changing characteristics of revenue rate.
本文以金融市场微观结构理论为基础,通过将时间窗口缩小来研究中国股市的交易量、收益率和收益率波动的变化特征。
Based on the market microstructure theory, this paper studies on the character of trading volume return and return volatility in China stock market through narrowing the time window.
外汇汇率的波动对公司收益性的潜在影响。
The potential impact of foreign exchange rate fluctuations on a company's profitability.
外汇汇率的波动对公司收益性的潜在影响。
The potential impact of foreign exchange rate fluctuations on a company's profitability.
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