是指购买证券所能带来的收益额与本金之间的比率.
·2,447,543篇论文数据,部分数据来源于NoteExpress
证券市场异常现象,是指风险调整后证券收益率超过预期收益率的现象。
Security market anomalies refer to the particular phenomenon in which the risk-adjusted returns to securities in mind exceed the expected values.
根据各种证券收益率的统计数据,提出了基于模糊多目标规划的一种新的证券投资决策模型。
Based on statistical data about profit rates of various securities, this paper provides a new model for the decisions of securities investment with the help of fuzzy multiple objective programming.
6月8日以来,葡萄牙10年期借款成本一直在10%或以上,而类似存续期的希腊证券收益率为22.84%。
Portugal's 10-year borrowing costs have been 10% or higher since June 8, while Greek securities of similar maturities yield 22.84%.
If you looked at the domestic equity return -the average return that was posted in 2000--it was -3.1%.
看看国内证券的收益,2000年公报的平均收益率是负3.1%
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