• Nor is it riskless.

    不是毫无风险的。

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  • Riskless money is better than risky money.

    没有风险风险的钱好。

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  • Investor invests a riskless bond and a risk stock with dividend payment.

    投资者选择了无风险债券带有红利回报的风险股票

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  • Purchase Concern of Warcraft CD Key testament be riskless on their website.

    采购关怀魔兽CD密钥证明风险他们网站上

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  • If an asset has riskless super profits, there is arbitrage opportunity in the market.

    如果某个资产存在风险超额利润会产生套利行为

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  • That was kind of a riskless trade because if they filed on time, we hadn't paid anything.

    种冒险的交易因为如果他们按时发布我们没有损失。

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  • Financial mathematic models of a riskless asset and a risky asset are discussed in this paper.

    讨论了个无风险资产一个有风险资产金融模型

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  • Then finally, the final step is to find what is the tangency line that goes through the riskless rate.

    最后最终步骤找出一条,穿过风险收益率的切线

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  • Arbitrage is a usual transaction behavior in order to make profits. It is the possibility of riskless profits.

    套利一种常见以获利目的的交易行为是基于无风险超额利润产生的。

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  • Once you've got them together, then you can compute the efficient portfolio frontier without the riskless asset.

    明确了这些参数可以出没有无风险资产情况下的,有效边界

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  • Arbitrage is a usual transaction behavior in order to make profits. It is the possibilitity of riskless profits.

    套利一种常见获利为目的交易行为是基于无风险的超额利润产生的。

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  • If exchange rates today were the same as those in forward contracts, there would be an opportunity for riskless profit.

    如果今天汇率水平和远期合同中的汇率水平一样的,那么就机会得到无风险收益

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  • Formerly research on portfolio selection mostly made assumption with the riskless asset, but the riskless asset does not exist in fact.

    以往关于资产组合选择研究大多假设市场上存在风险资产无风险资产实际上不存在的。

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  • The term structure of riskless interest rates was established by the relationship between riskless interest rates and the terms of mature.

    通过风险利率到期期限之间函数关系确定无风险利率的期限结构

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  • The cause is that is very difficult to predict the stock market future cash dividends and to choice the riskless interest rate reasonably.

    是因为在合理预报股市未来现金股利大小选择风险利率时遇到了困难

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  • Considering a financial market with risky stocks and riskless bond, we describe the stochastic model of stock prices with stochastic volatility.

    在考虑带有股票债券金融市场后,本文提出了一个具随机波动率股票价格的随机微分方程模型

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  • It affects portfolio decisions. It has led to a dramatic shift away from risky assets to riskless assets, or at least assets perceived as riskless.

    影响着资产组合决策,导致风险资产风险资产至少被理解零风险资产这一戏剧性的转变

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  • The information affects not only the proportion of capital allocation in the riskless asset to that in risky ones, but also composition of risky assets.

    信息不仅影响投资者风险资产风险资产之间资金分配比例而且影响风险资产组合

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  • But a model of lending primarily to relatively riskless state-owned companies means developing proper risk management capabilities isn't really necessary.

    然而这种主要面向风险相对较国企的放贷模式意味着培养适当的风险管理能力也就没什么必要了。

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  • The short-term riskless rate is one of the most fundamental and important prices determined in financial markets. It is driving the changes in the entire term structure.

    短期无风险利率金融市场基本也是最重要价格决定因素驱使着整个期限结构变动

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  • In pure or riskless arbitrage transactions, the purchase and re-sale of the asset in question are conducted simultaneously, thus the arbitrageur does not risk any of their own funds.

    套利风险套利交易中,资产购买转售同时进行的,因此套利自己资金承担任何风险

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  • Credit spreads-that is to say, the risk premium over and above the riskless rate of interest-widened to unprecedented levels and eventually the stock market also was overwhelmed by panic.

    信用利差(高于风险利率风险溢价)被放大前所未有的程度,并且导致股票市场充斥恐慌情绪

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  • I have stocks, bonds, and oil but I want also to add one more final asset, we'll call it the riskless asset, long-term bonds are somewhat uncertain and variable because they're long-term.

    股票债券石油增加最后一种资产我们称之为风险资产,由于长期债券持有期限很长,存在一定不确定性风险。

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  • This induced Banks that were obliged to hold riskless assets in order to meet their liquidity requirements to earn a few extra basis points by loading up on the weaker countries' sovereign debt.

    就使得必须持有风险资产满足流动性要求银行们松了口气,因为这意味着它们可以持有较疲软国家主权债务

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  • This induced Banks that were obliged to hold riskless assets in order to meet their liquidity requirements to earn a few extra basis points by loading up on the weaker countries' sovereign debt.

    就使得必须持有风险资产满足流动性要求银行们松了口气,因为这意味着它们可以持有较疲软国家主权债务

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