该公司持续性经营收益为每股52美分,超过分析师预测的平均37美分。
Earnings from continuing operations were 52 cents a share, topping the average analyst estimate of 37 cents.
模型还可以包括收益属性,可通过其进行收益性评估甚至在分析新流程版本的影响时进行损益分析。
The model also can include revenue attributes, which enables the evaluation of profitability or even break-even analysis when examining the impact of a new version of a process.
首先对收益率和交易量序列进行描述性的统计分析。
First, Descriptive statistics is used to analyze the return and trading volume series.
首先通过采用一种基于各个国债之间相关性的新测度方法,对17个国债日收益率时间序列进行聚类分析。
The paper first makes clustering analysis for 17 treasury bonds' daily return time series by using a suitable metrical approach based on the correlation among the bonds.
第二章对CCFI和BDI及CCFI分航线指数之间平均收益率、标准差、偏度、峰度、序列相关性等基本统计量进行了比较分析。
Then it comparatively analyzes some basic statistic of CCFI and BDI, which include mean, standard deviation, skewness, kurtosis, autocorrelation, and so on.
从非营利组织委托—代理关系和受益人主体虚位以及其公益性等方面,分析了非营利组织所有权和剩余收益权缺位原因。
As for the ownership of NPO as well as the absence of residual right are analyzed from the aspect of NPO entrusting-agent relation and the phantom of beneficiary.
再将一个规划方案的本钱和收益进行比较,分析这个方案的实施可能性。
Again to compare cost and benefit of a planning, analyze the implementation possibility of this scheme.
本文从理论的角度出发,对建筑企业进入土地一级开发领域的现实条件、可能性、运营模式、收益环节等进行了详细分析。
This article analyzes in detail to the practical conditions, possibilities, operating mode and the profit pattern for construction enterprises entering the field of primary land developing in theory.
文章首先提出了外汇结构性产品的概念和分类,分析了本金无风险的外汇结构性存款的期权特征及其收益的不确定性。
This paper analyzes the option features of structured deposits of foreign currency with both non-risk principal and risk principal respectively.
用实证方法分析了基金收益率、分红、基金规模和基金净值对赎回的影响以及基金赎回对基金流动性资产的关系。
With the empirical way to analysis the influence of the return of fund, dividend, asset and net value to redemption, and to study the relationship between redemption and liquid assets.
通过分析双边环境可持续性以及重复博弈情况下收益格局与合作行为的关系,研究了效用函数在环境合作机制设计中的作用。
By analyzing the relations between gains structure and cooperation action in iterated game, the effect of utility function in environmental cooperation mechanism design is studied.
通过对上证指数的统计分析表明,上证指数的收益率分布表现出非正态性,并存在自回归条件异方差的特征。
According to statistical analysis on Shanghai stock index, the distribution of the rate of return is non-positive skewed, and there exists an autoregressive heteroskedasticity in the rate of return.
根据第三部分中风险分析的结果,编制了项目可行性研究经济指标、成本估算表、现金流量及内部收益率、利润测算表、敏感因素的影响等一系列表单;
A series of tables are formulated on the economic indices adopted in the feasibility study of the project, cost evaluation, cash flows, internal earnings, profit evaluation, sensitive factor analysis.
立足于产品的绿色设计,构建了产品再回收设计的经济性分析模型,以保证产品在回收处理阶段的成本与收益之间的均衡。
Based on product green design, this paper proposes the product recycling design economic analysis model to assure the equilibrium of costs and benefits at the recycling stage.
最后则探讨教育收益率分析在教育政策规划应用之重要性。
Finally, it discusses the influence of rates of return to education on educational policy planning.
本文运用交易成本经济学及成本收益分析方法作为分析工具,论证了金融业由分业经营走向混业经营的内在必然性。
This paper discusses the inner inevitability of finance's switching from "Separated Run" to "Comprehensive Run" using transaction cost economics and cost-return approach as analysing instrument.
最后,本文根据实证研究结果,具体分析了第一大股东变化和股权流动性变化对控制权收益影响的指标。
Finally, according to demonstration result, analysis the first strong stock hold changing and share flow ability changing influent controlling power avails' index.
一般分析中较注意金融资产的收益性、流动性、安全性。
Different financial assets appeared continually. Characters of yield, liquidity, safety are paid more attentions to in the general analyses.
成本-收益分析法是提高金融监管有效性的分析框架。
Cost and benefit analysis is the approach to study how to improve the efficiency of financial regulation and supervision.
但是,流动性和收益性之间存在着替代性的关系,通过无差异曲线的分析说明银行为了保证效用最大化,必须在流动性和收益性之间选择一个均衡点。
However, as the substitutable relationship between liquidity and profitability, the bank should choose a equilibrium point so as to maximize profit, which is analyzed by indifference curve.
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.
本文根据各个环节的状况,通过分析成本收益,提出了在制度、结构、行为和规制机构四个方面的系统性的配套改革思路。
According to the status of each link, through cost-benefit analysis presented in the system, this paper proposes systematic reform ideas in institution, structure, behavior, and regulatory agencies.
第三章则是具体将文化资本引入教学,同时利用概念分析工具,理解教学的可能性收益。
Chapter third concrete to lead teaching into culture capital, utilize the concept to analyze tools at the same time, understand the possibility income of teaching.
通过对沪铜收益率时间序列特征的分析发现,沪铜收益率时间序列存在尖峰厚尾性和波动集群性,并具有明显的ARCH效应。
Through the analysis of copper time series' characteristics, we found that copper yield rate time series had peak fat-tail characteristic, volatility clustering characteristic and obvious ARCH effect.
本文研究结果表明:(1)从对货币市场基金与可比性金融产品的差异分析来看,MMF在我国已经具备了“准储蓄”的特征:高收益、低风险、较强的流动性。
The empirical results shows: (1) Trough studying the different with other comparable financial instruments, MMF has the characteristics of "quasi-savings", high-yield, low-risk, high-liquidity.
实证分析显示,混合分数布朗运动可以很好的拟合股票收益的长期依赖性及动量效应。
Empirical analysis shows Brownian-fractional Brownian model can fit the long-term dependence and the momentum effects of stock returns well.
一般性数据分析结果表明沪深两市的A股月收益序列都不是一个白噪声过程;
The monthly stock indixes of A-share in two stock markets are used, the results of which indicate that monthly returns in both stock markets are not a white noise process.
一般性数据分析结果表明沪深两市的A股月收益序列都不是一个白噪声过程;
The monthly stock indixes of A-share in two stock markets are used, the results of which indicate that monthly returns in both stock markets are not a white noise process.
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