• 投标质量一经确定,对于参与投标供应商来说成本确定了,由于模型建立固定收益率下,因此供应商投标价格就可以表示出来

    The quality of a bid is determined, and then the cost of suppliers is set. Because the model is built under fixed-income rate, so the supplier's bid price can be expressed out.

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  • 文章的部分分析比较固定收益率下的供应商投标价格与均衡策略下的供应商投标价格之间的关系,得出文章模型存在三种类型的供应商。

    This part also compares the price of fixed-income rate and the price of balanced strategy, and then we find out there are three types of suppliers in this model.

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  • 如果固定收益证券持有到期日,则投资人收益率得到补偿。

    The rate of return an investor receives if a fixed-income security is held to maturity.

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  • 债券收益率固定按揭利率关键组成部分,与美国消费者密切相关

    Bond yields are the key component of fixed mortgage rates, widely used by us consumers.

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  • 固定利率一般同一期间到期美国国债收益率

    The fixed-rate element normally carries a higher yield than that of Treasury bonds with the same maturity.

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  • 传统型保费固定,其现金价值的增长最低收益率保障

    Whole has a fixed premium and guaranteed minimum growth.

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  • 毕竟多方认为收益率股价一个好消息,因为这会鼓励投资者退出固定收益资产寻找更高回报

    After all, bulls were previously arguing that low yields were good news for equities, as they encouraged investors to move out of fixed-income assets in search of higher returns.

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  • 人们担心部分债券流动性收益率却出现了明显回升,花旗所发债券固定利率部分的收益率美国国债高出1.05个百分点。

    There are concerns about the liquidity of this paper, but the yield pickup is substantial, 1.05 percentage points more than U. S. Treasurys on the fixed-rate portion of the Citi issue.

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  • 一星级酒店出租率固定资产收益率各项指标均为星级酒店最低,严重拖后腿

    Hotel of one star class is occupied than, each index such as rental rate and fixed assets yield all is the lowest in astral class hotel, serious hinder sb!

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  • 金融产品一般都是固定收益产品,10%左右收益率高于银行存款

    Financial products which are generally fixed-income products, the annual yield at about 10%, higher than bank deposits.

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  • 收益率折价发行的固定收益债券的到期收益率转换成的年度收益率

    Equivalent Yield The annualized yield-to-maturity on fixed-income security sold on a discount basis.

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  • 商业信用固定负债成本负债净资产收益率呈正相关关系,其他成分还是负相关。

    And find there are no-cost debt and return on equity to present the positive correlation relation in commercial credit and capital liability, etc.

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  • 其次,本文1~50银行间固定利率国债即期收益率为数据基础,计算出S-W模型的利率结果,重要参数进行敏感性分析

    Secondly, we ran the S-W method with spot curves of China's government bonds with maturities of 1-50 years as the input and performed sensitivity analyses on important parameters.

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  • 其次,本文1~50银行间固定利率国债即期收益率为数据基础,计算出S-W模型的利率结果,重要参数进行敏感性分析

    Secondly, we ran the S-W method with spot curves of China's government bonds with maturities of 1-50 years as the input and performed sensitivity analyses on important parameters.

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