1.
The Consistency Condition of Decision for Maximum Expected Profit And Minimal Expected Loss;
最大期望收益与最小期望损失决策一致性条件
2.
Behavioral Finance:Perceived Risk and Perceived Expected Return;
行为金融:认知风险与认知期望收益
3.
Risk Measure Method Expect Return under Heavy-Tail Distribution
重尾分布下的期望收益风险度量方法
4.
Economical evaluation model of pre-studying technical projects in production engineering plan and its application;
采油工程预研项目期望收益模型及应用
5.
Analysis and application of the determinants of expected stock returns;
股票期望收益率决定因子分析及应用研究
6.
An Expected Return Model and Algorithm for A kind of Price Control Problem;
一类价格控制问题的期望收益模型及算法
7.
Empirical research of expected stock return:CAPM & Fama-French models;
股票期望收益率估计的单因素与三因素模型
8.
Behavioral Finance: Overconfidence and Mixed Expected Earning Model;
行为金融:过度自信与混合期望收益模型
9.
A NOVEL DECISION-MAKING MODEL OF ELECTRICITY SUPPLIER BIDDING BASED ON EXTENDED EXPECTED REWARD;
基于扩展期望收益的发电商竞标决策模型
10.
An expected-return model for linear bilevel problems with uncertain reaction and its solution procedure;
线性二层决策问题的期望收益模型及算法
11.
Parallel Movement of Effective Frontier in Expected Portfolio Return;
证券期望收益率同值变动时有效边界平移分析
12.
Limits of "Expected Return-Variance" Principle under Framing of Behavioral Finance;
行为金融框架下“期望收益-方差”投资原理的局限性
13.
It may be that they expect strong earnings in the future.
或许是他们期望未来会获得丰厚收益。
14.
YTM [yield to maturity]
全期收益,到期收益[
15.
Maximizing the Expectant Benefits and Graduates Over-expectation of Employment;
预期收益最大化与大学生就业期望偏高
16.
THE DISCOUNTED PENALTY FUNCTION OF A RISK MODEL WITH RETURN ON INVESTMENTS;
一类带投资收益风险模型的罚金折现期望
17.
Robust Model with Unreliable Estimates of Expected Returns and Residual Returns;
期望和残差收益估计不可靠的鲁棒模型
18.
statement of current earnings and retained earnings
本期收益及留存收益表