Dozens of hedge funds that used Lehman as a prime broker are fighting for the return of assets.
数十个使用雷曼作为首要经纪人的对冲基金要求退还资产。
In this paper we present a new robust asset and liability model, which considers the uncertain interest rate's influence on future cash flows, capital cost and return of assets.
本文提出一种新的稳健资产负债模型最优化模型。该模型考虑了利率的不确定性对未来现金流、资金成本和资产收益率的影响。
Again, these aggressive interventions are intended to shore up the health of financial institutions and return them, or some of their assets, back to the private sector.
同样,这些积极的干预措施的目的是支撑健康的金融机构,并将他们或者他们的一些资产重新配置给私营部门。
These funds do not own assets like shares or bonds; instead they arrange a derivative deal with an investment bank, which guarantees to deliver the return of the targeted benchmark.
这些基金不拥有股票或债券类的资产,但它们能和投行进行衍生交易,投行则担保将目标标准点的收益传到账上。
Still, the CRR estimates that to return funding levels to those of 2007 by 2010, the rate of return on market assets would have to be 52% each year.
退休研究中心估计,要在2010年前使基金恢复至2007年的水平,市场上资产的回报率每年须达到52%。
You can return to the first step from the third step to update an inventory of assets to be protected.
可以从第三步返回到第一步以更新要保护的资产集。
CFAO's recent return on assets, of over 20% a year, he points out, far exceeds that of the Gucci Group, at around 7%, mainly because PPR paid so much for the latter.
他指出,CFAO的最新的年资产收益率高于20%,远远超越了古琦集团的7%,这主要由于PPR对后者的投入太大。
Mr Rauh calculates that seven states will have exhausted their pension assets by 2020—even if they make a return of 8%, a common assumption that looks wildly optimistic.
Rauh预计,即使按照过于乐观的8%的回报率来算,在2020年之前还是会有七个州会将退休基金资产耗尽;
The maximum Sharpe ratio for the given set of assets is the return value of the Callable task.
给定资产集的最大sharpe比率是Callable任务的返回值。
As co-chief investment officer, he manages PIMCO Total Return, the world’s largest mutual fund with $234 billion of assets.
作为联席执行官,他管理的是PIMCO完全回报(Total Return)部分,这是世界上最大的共同基金,拥有资产2340亿美元。
And Banks' "return on assets" (another gauge of performance) was just 0.18 percent in the most recent quarter, the lowest since 1990.
而且,最近一个季度银行的“资产收益率”(这是另外一个重要指标)仅仅只有百分之零点一八,为自1990年以来最低。
Today, that model has warped into self-parody: many of the Banks' assets are unsellable even as they have to return to the market each day to ask for lenders to vote on their survival.
如今这种模式已经扭曲成了滑稽的自我模仿:很多银行资产都没有销路,正如他们每天都必须回到市场上央求贷款者帮助他们存活下去。
"Paintings and other works of art can be very illiquid assets and their return can be damaged if they appear too frequently at auction," he says.
“画作及其它艺术品的流动性可能非常低,如果过于频繁地出现在拍卖会上,其回报率有可能受损,”他表示。
It should buy some of the riskier assets, and return some of these funds back to emerging-market countries to offset capital outflows.
它该购买一些风险较高的资产,并向新兴国家归还其中部分资金来抵消资本外流。
The fact that we pay no interest on the clearing balances of Banks is already a disincentive as Banks do not get any return on those assets.
事实上,我们不对银行的结算馀额支付利息这个安排本身已经是一种抑制措施,因为银行不会就该等资产得到任何回报。
We focus on simple yet critical goals: improving your return on assets, operational performance, total cost of ownership, project time-to-benefit, and shareholder value.
我们专注于简单但重要的目标:提高你的资本回报,运营成绩,物权总成本,项目开始至盈利时间,以及股东利益。
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。
It was not the fair market value of the inventories, receivables or fixed assets that produced the premium rates of return.
并不是公允市场价值的库存,应收款,或者固定资产,产生了这种非凡的回报率。
Continue to explore other ways for you to release and return of value, such as the release of the Asian value of assets.
继续探索其他方式,为你们释放和返还价值,如释放亚洲资产价值等。
The United States takes advantage of the dollar's position to borrow cheaply from the rest of the world, selling its assets in return for goods.
美国利用其美元地位从世界其它地方低价借款并卖出资产以获得商品。
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。
In order to achieve maximum return with a minimum degree of risk, it is important to study the comovement between these two assets.
为了从组合中获取最大收益和最大限度的规避风险,研究这两种资产之间的联动问题具有重要意义。
The weaknesses of the income approach are: Cannot segregate specific assets; Subjectivity of income projections and rates of return.
收益法的缺点是:不能分别估算具体的资产;收益设计和利润率的主观随意性。
Classical CAPM is just used to forecast the future return of financial assets by assessing systematical risk in one country.
经典资本资产定价模型只是通过预测一国内部的系统风险,来预测金融资产的未来收益。
But even the return of just 20% of its securitized assets could offset the firm's recent balance-sheet reduction.
不过,即使其证券化资产只有20%回归,也将抵消其资产负债表近期所作的瘦身。
But even the return of just 20% of its securitized assets could offset the firm's recent balance-sheet reduction.
不过,即使其证券化资产只有20%回归,也将抵消其资产负债表近期所作的瘦身。
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