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asset return

  • 资产收益

专业释义

  • 资产收益 - 引用次数:18

    In financial market asset return and interest fluctuation are uncertain, so the financial goal of insurance company is to meet solvency requirement and,simultaneously, maximaizethe expected return and minimaize risks.

    金融市场当中的 资产收益和利率波动具有不确定性,保险企业的财务目标是满足偿付能力要求,同时最大化期望收益,最小化风险。

    参考来源 - 保险企业稳健型资产负债管理模型—《商业研究》—2008年第4期—龙源期刊网

·2,447,543篇论文数据,部分数据来源于NoteExpress

双语例句原声例句权威例句

  • What is more important is it can record the information of asset return or lending.

    最主要能够资产借出归还信息进行记录

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  • This paper studies the effect on saving rate due to the change of economic growth and asset return.

    我们用模型研究经济增长率资产收益率变动储蓄率影响

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  • Volatility in the article is the variance of asset return, which varies with time going, and this is also called heteroscedasticity in Econometrics.

    本文所研究的这种波动性资产收益方差时间不断变化计量经济学称之为方差问题。

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更多双语例句
  • This is the equation that relates the expected return on an asset.

    这个等式是关于某一资产的预期收益。

    耶鲁公开课 - 金融市场课程节选

  • If we have an annual return that we're looking at, we can find a completely riskless asset with an annual return-- it would be a government bond that matures in one year.

    如果我们可以查看各项资产的年度收益,我们可以找到一个零风险,且达到预期年度收益的资产项目-,也许是一年期的政府债券。

    耶鲁公开课 - 金融市场课程节选

  • r1 Asset 1 has expected return r1.

    第一项资产的预期收益率是。

    耶鲁公开课 - 金融市场课程节选

更多权威例句
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