This internal rate of return (IRR) for the project is then compared to a minimum required rate of return for projects of similar risk.
然后项目的这一内部收益率(IRR)被与风险相近的项目的最小要求收益率进行比较。
Some attention should be given to choosing the required rate of return to make sure that it adequately accounts for the risk of the project.
我们应该慎重选择这个要求回报率 以此确保充分考虑这个项目的风险。
Risk premium — Additional rate of return required to compensate the owners of capital when the expected and actual returns may differ.
风险差额——当预期和实际回报不同时,必须补偿所有人的一个额外的回报率。
The single-factor model thinks, the rate of return of the stock can be explained with system risk and none system risk together, but it limits the system risk in a factor (such as market index).
单因素模型认为,股票的收益率可以由系统风险和非系统风险联合解释,但它把系统风险限制在一个因素(如市场指数)当中。
Risk Free Rate of Return The quoted rate on an asset that has virtually no risk.
无风险回报率基本上没有风险的资产的利率。
N Investors may be risk averse, demanding a higher rate of return - a risk premium - for holding risky assets.
n投资者可能是风险厌恶的,要求在持有风险资产时拥有更高的回报率——风险溢价。
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.
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。
By taking into the account the expected rate of return and the risk involved Kelly's utility function maximizes the overall growth of your bankroll.
通过参加进账户被期望的收益率和危险包含凯利的实用功能使你的资金的总的生长最大化。
Based on CAPM, the authors obtained the expected return rate of entrepreneurs, the beta coefficient and risk premium of enterprises.
基于经典的资本资产定价(CAPM)理论,得到了企业家的期望收益率、企业的贝塔系数和风险溢价。
The article brings forward that qualified and useful risk-free return rate can be found through researching on the basis of analyzing the successful utilization in America.
本文提出了在借鉴美国投资者无风险收益率选择成功经验的基础上通过分析研究,努力找到符合标准并在我国适用的无风险收益率。
This showed that the impact of external factors on the stock market was strong; the rate of return was not necessarily proportional to the risk.
这表明外部因素对股市的冲击很大,收益率与风险不一定成正比。
How much risk economic and strategic factors pose for the operations of a firm, its profitability and long-term solvency? We use the rate of Return on Assets (ROA) to answer this question.
经济及战略因素给企业经营、盈利及长期流动性所带来的风险,我们用资产回报率来回答这个问题。
RPM is the additional return over the risk-free rate needed to compensate investors for assuming an average amount of risk.
用以补偿投资者平均风险的、超过无风险利率的额外收益。
P2P assets may offer a higher rate of return at a lower risk level currently available from traditional debt based securities.
与传统债券相比,P 2 P资产形式目前能够在较低风险下提供更高报。
The goal of credit risk management is to maximise a bank's risk-adjusted rate of return by maintaining credit risk exposure within acceptable parameters.
对信用风险管理的目标是尽量维持在可接受的参数信贷风险,银行的风险调整回报率。
In the USD area, it should be difficult for relative-value and arbitrage strategies to return more than the risk-free rate of 5%.
在美元区,相对价值型和套利型策略难以获得高回报。
RMB exchange rate has a quicker response to information after the reform. The return has neither a characteristic of leverage effect nor a risk premium effect.
汇改后,人民币汇率对信息反应速度有所提高,既不存在杠杆效应,也不存在风险溢价效应。
Return on risk-weighted assets (RORWA) is used to indicate the profitability of banks while non-performing loan rate and non-performing loan forming rate are used to indicate banks'asset quality.
用加权风险资产收益率作为商业银行盈利能力的衡量依据,用不良贷款率和不良贷款的净形成率作为资产质量管理能力的衡量依据。
Return on risk-weighted assets (RORWA) is used to indicate the profitability of banks while non-performing loan rate and non-performing loan forming rate are used to indicate banks'asset quality.
用加权风险资产收益率作为商业银行盈利能力的衡量依据,用不良贷款率和不良贷款的净形成率作为资产质量管理能力的衡量依据。
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