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1.
The Value Analysis of Close-ended Fund Investment on the Basis of a New Method--Behavioral Mean Half Deviation Compound Earning Ratio Method;
基于一种新方法的封闭式基金投资价值分析——行为均值半离差复合收益率方法
2.
Discussion on the Capitalization Rate Determinedby Band-of-investment Method;
对复合投资收益率法确定资本化率的思考
3.
the yield to maturity
"到期率,收益率"
4.
Rate of return(or return)on capital
资本收益率(或资本收益)
5.
A Study of Portfolio Index Based on Inverse Return Loss
基于收益率倒数损失的投资组合指标
6.
The mixed Gumbel distribution of stock returns;
股票收益率的混合Gumbel分布研究
7.
Model for portfolio selection with fuzzy return rates
带有模糊收益率的投资组合选择模型
8.
The Portfolio Study on Base of Conditioned VaR
条件收益率下的VaR投资组合研究
9.
Yield Equivalence
收益同等利率、收益等价率
10.
lower-than-assumed real rate of return on investment
较假定实际收益率为低的投资收益率
11.
A Study on Mechanism of Enhanced Oil Recovery by Combinational Flooding in Conglomerate Reservoir
砾岩油藏复合驱提高采收率机理研究
12.
Forecast the Enterprise Annuity Yield and Estimate the upper Bounds of the Loss Probability
企业年金投资组合收益率的拟合、预测及亏损概率的上界估计
13.
Optimal model of hedging based on new and old portfolio of the maximum return probability
基于全部组合收益概率最大的最优新增组合套期比率
14.
The Portfolio Decision Model Based on Minimizing Risk to Return Ratio
单位收益率风险最小的组合证券投资决策模型
15.
Weighted portfolio selection for return rate with fuzzy number
收益率为模糊数的加权证券组合选择模型
16.
Acquirement of Fuzzy Profit Rate and Decision for Optimal Portfolio
模糊收益率的获取及最优投资组合决策
17.
Return on assets is an important indicator of a company.
资产收益率是综合反映公司业绩的重要指标。
18.
In this paper the return and risk of portfolio are analyzed.
文章首先分析了组合证券投资的收益率和风险。