第一项资产的预期收益率是。
你的预期收益率提高了,但风险没有增加。
金融机构也往往以预期收益率为噱头。
Financial institutions are also often expected yield of gimmicks.
信托产品预期收益率的收入收益并非最后。
Trust products are expected to yield revenue receipts are not final.
事实上,为了获得高的预期收益率,人们愿意承受的风险,也会不同。
In fact, different people might make different choices about how much risk they're willing to bear to get a higher expected return.
证券市场异常现象,是指风险调整后证券收益率超过预期收益率的现象。
Security market anomalies refer to the particular phenomenon in which the risk-adjusted returns to securities in mind exceed the expected values.
本论文采用人工神经网络技术对中国股票市场的预期收益率进行实证分析。
This thesis uses the Artificial Neural Net technique to empirically analyze the expected rate of return of China stock markets.
针对预期收益率与风险损失率为模糊数时,建立了一种具有模糊系数的证券组合投资选择模型。
A optional model of portfolio investment with fuzzy-coefficient in which profit rates and risk rates are fuzzy Numbers is presented in this paper.
风险中性的世界是一个假想的世界,在风险中性世界中所有风险资产的预期收益率等于无风险收益率。
The world of risk neutral is an imaginary world in which the expected return rate of all risky assets equals to risk-free return rate.
本期人民币理财产品预期收益率仅供客户参考,并不作为济南市商业银行向客户支付理财收益的承诺;
The predict RMB investment product yield here is only a reference, it won't be the promise of benefit payment to client.
该方法不需要估计未来的现金股利和投资者的预期收益率,在一定程度上克服了传统股票定价方法的缺陷。
This approach is not in need of determining the future cash dividend, thus, to a certain extent, overcoming the shortcoming of the traditional method.
预期收益率作为信托产品的价格体现,其定价机制具有金融产品定价的基本属性,受到市场当中诸多因素的影响和制约。
Trust expected rate of return reflects the price of the trust product; its pricing-mechanism has the basic properties of financial products and influenced by the market factors and constraints.
传统的股利折现模型在对股票定价的过程中,不能精确地确定投资者的预期收益率和未来支付的现金股利,因此存在着一定的缺陷与不足。
As the traditional stock pricing method, dividend discount model is defective in that it cannot precisely determine the expected rate of return of investors and future payment of cash dividend.
是市场组合中所有资产组合的,rm,is,the,expected,return,on,the,market,portfolio,预期收益率。
据统计,节前一周,银行发行的封闭式预期收益型人民币产品平均年化收益率为4.18%。
According to statistics, the week before the Spring Festival holiday, the average annualized yield rate of the bank issued RMB products with closed-end expected yield rate was 4.18%.
测算市盈率对于确定证券组合预期的持有期收益率非常重要,这正是估价任何证券组合的基础。
Measuring the price-earnings ratio of share is important for determining the expected holding-period return which can be used as a basis for valuing any portfolio.
测算市盈率对于确定证券组合预期的持有期收益率非常重要,这正是估价任何证券组合的基础。
Measuring the price-earnings ratio of share is important for determining the expected holding-period return which can be used as a basis for valuing any portfolio.
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