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1.
On Measuring Volatility of Asset Returns in KMV Model;
KMV模型中资产收益波动率的确定
2.
Analysis of Investment Returns and Their Volatility Charaters in Shanghai and Shenzhen A Stock Market;
沪深A股市场投资收益率及其波动特征分析
3.
ratio of net income to total assets
净收益对资产总额比率;净收益对资产总额比率
4.
Study on the Volatility of Returns Rate of Real state Indices in Shenzhen and Shanghai Security Market;
深市、沪市地产股指数收益率波动性的统计研究
5.
Stock Market Returns, Volatility and the Role of Investor Sentiment in China;
中国股市收益、收益波动与投资者情绪
6.
Study on Multi-scale -GARCH Model of Valatilities in the Financial Capital Gains;
金融资产收益波动的多尺度GARCH模型研究
7.
Idiosyncratic volatility,turnover and cross-section expected return;
特质波动率、换手率与预期收益关系
8.
Rate of return(or return)on capital
资本收益率(或资本收益)
9.
gain on disposal
非流动资产出售收益
10.
The ARCH Research on share Index Yield And Fluctuation of small Corporation Stoch;
中小板股指收益率与波动性的ARCH研究
11.
Interday return volatility of China stock market: An empirical analysis;
中国股市隔天收益波动率的实证研究
12.
An Analysis of Trading Volume Impact on Volatility;
成交量对股票收益率波动的影响分析
13.
THE EUROPEAN OPTION PRICING OF STOCK WITH CIRCLE EXPECTED RATE OF RETURN;
收益率周期波动的股票欧式期权定价
14.
On Impacts of Asset Allocation to Yield Fluctuations of Open-end Fund;
资产配置因素对我国开放式基金收益波动的影响分析
15.
"Total assets yield" cannot be taken as the inspection target;
“总资产收益率”不能作为考核指标
16.
An Empirical Exploration of Liquidity and Expected Returns on Chinese Stock Markets Based on Turnover Ratios;
基于资产换手率的我国股市流动性与预期收益实证研究
17.
Research on Long Memory in International Stock Returns and Its Volatility;
国际股票市场收益率和波动率的长记忆性研究
18.
ANALYSIS ON STOCK PRICE DISTRIBUTION CONTAINING STOCHASTIC RETURN AND STOCHASTIC VOLATILITY;
具有随机收益率与波动率股票的一般价格分布