This violates the basic building block of finance - the law of one price - and does not depend on any pricing model.
这就与“一价定律”这一金融的基本结构单元相悖,且不依赖于任何定价模型。
As that model turns out to have been unsustainable, the resulting retrenchment in finance will curb overall growth.
随着这种模式逐渐不再具有可持续性,金融业的紧缩将阻碍经济整体的增长。
In the capital asset pricing model, in finance — this is the most famous model in finance.
金融学里的资本资产定价模型-,是金融学里最有名的模型。
This kind of “managed finance” model is no longer confined to China.
这种“金融管理”模式不再局限于中国。
That will lead us into the capital asset pricing model, which is the cornerstone of a lot of thinking in finance.
然后引出资本资产定价模型,这个模型是很多金融思想的基础。
Have an idea; model it yourself, grab the data from Amazon, benchmark it against Yahoo Finance, and set up your filters in Google Reader for stories or articles related to your themes.
有一个想法,然后完成模型,从amazon获取数据,将其作为基准与Yahoo财经比对,然后在GoogleReader中设定自己的过滤喜好来获取相关的报道和文章。
In finance the "originate and distribute" model of bank lending may have dispersed risk, but it also meant that a problem in the American housing market damaged Banks all over the world.
在金融领域,“贷款并证券化(originate anddistribute)”的银行借贷模式能够分散风险,但也意味着只要美国房地产市场出现问题,全世界的银行都要受到损害。
How the Aznar model can apply now will depend largely on Mr Rajoy's first finance minister. And who will that be?
怎样将阿兹纳模式应用于目前的状况恐怕在很大程度上要取决于Rajoy先生的首位财政大臣了——他又会是谁呢?
There are clearly no easy answers for how to save the newspapers and still be able to finance good journalism, and we have doubts that charging for online access is a viable model.
如何拯救报纸这个问题没有一个简单答案,但是我们还是能够资助好的新闻业的,而且我们很怀疑对在线内容收费是一个可行的商业模式。
We also leverage Tarik's background in finance and strong business acumen to strengthen Juliette's business model.
我们也借助塔里克的金融背景和精明的商业头脑来改善朱丽叶的经营模式。
The principle, model and program of finance decision making for enterprise merger and acquisition are studied.
研究了企业并购财务决策的原理、模型和程序。
With Vector Error Correction Model, impulse response analysis and variance decomposition, this paper analyzes the finance factors that cause the prompt rise of house price in China.
通过建立向量误差修正模型并借助脉冲响应分析和方差分解,重点对中国近年来住房价格上涨中的金融因素进行分析。
This paper modifies the BP curve and constructs a static model without uncertainty based on the reality of FDI flow under Capital and Finance Accounts in China.
本文考虑到我国资本和金融账户下主要以FD I资金流动为主的现实,修正了BP曲线,并建立了一个确定性的静态模型。
This violates the basic building block of finance the law of one price and does not depend on any pricing model.
这就与“一价定律”这一金融的基本结构单元相悖,且不依赖于任何定价模型。
This model offers a way for the study of finance complexity.
该模型为研究金融复杂性提供了一种思路。
Whether we can not use capital pricing model, then avoid joint hypothesis in the empirical process, arbitrage the kernel of finance theory becomes the breach of the problem.
实证过程中是否可以不使用资产定价模型,进而回避联合检验,金融中的核心理论——套利成为解决该问题的突破口。
The paper studies the relationship between product distribution cost and channel model from the view of corporation finance.
本文从企业财务的角度对产品分销成本与渠道模式之间关系进行了研究。
Therating model supplies the foundation of the scientific management and correct decision for credit assessment organization and finance institutions.
这一评分模型的提出,为信用评估机构和金融机构提供了科学管理和正确决策的依据。
By use of the economic growth model, this paper analyzes the long term relationship between the finance and the economic growth.
利用经济增长模型从动态的角度对金融与经济增长的关系进行了长期分析。
Lastly, the paper discusses the future study on prediction model of finance predicament.
最后对我国财务困境预测模型的进一步研究作了探讨。
The paper looks back the organization models of finance information. It points out the trends of network organization model.
对金融信息的组织模式进行了简单的回顾,指出了网络化组织模式的必然趋势。
Finally, with the help of the modern behavior finance theory, the pricing model with irrational expectations is introduced.
最后结合现代行为金融理论,介绍了非理性预期下的行为定价模型。
The financial value of brand equity flows through the model of brand loyalty, which just goes to show the interdependency between marketing and finance.
品牌资产的财务价值按照品牌忠诚度的模型来计算,也是为了展示市场和财务的相互依赖。
This paper studies the inevitability, organizational model and strategic process of integrated operation of China's finance mainly from the Angle of new institutional economics.
本文主要从新制度经济学角度研究我国金融混业经营的必然性、组织模式和战略进程。
The prediction model of finance predicament depends on financial target and non-financial target system to differentiate financial situation in company.
财务困境预测模型是指借助企业财务指标和非财务指标体系来判别企业财务状况的模型。
ARCH model is a kind of dynamic non-linear time series model. It has widely used in the field of the finance and economic.
ARCH族模型是动态非线性的股票定价模型,它在金融和经济领域具有广阔的应用前景。
Then, using hierarchical analyses approach in determining the weights of the various risks, the theoretical model of macroscopic finance risk measurement system was constructed.
然后根据层次分析法确定风险权重,进而构造了我国宏观金融风险测度的理论模型。
Then, using hierarchical analyses approach in determining the weights of the various risks, the theoretical model of macroscopic finance risk measurement system was constructed.
然后根据层次分析法确定风险权重,进而构造了我国宏观金融风险测度的理论模型。
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