1.
Problems in Computing Certainty Equivalent Coefficient by Risk Rate Returns and Minimum Rate of None-risk Returns;
“利用有风险报酬率和无风险最低报酬率函数关系计算肯定当量系数”质疑
2.
risk-return trade off function
风险与报酬比益函数
3.
Application of the Theory of Probability and Statistics in Investing Hazard Emolument;
概率论与数理统计原理在投资“风险报酬”分析中的应用
4.
On Moral Risk Control of Risk Investment and Reward Inspiration Mechanism;
风险投资的道德风险控制—报酬激励机制设计
5.
Mentality as a risk/reward agent.
心态作为一个风险或者报酬的代名。
6.
The gap between he profit of idle money and its expected profits form investment is not just the reward of the risk.
闲钱的收益率和投资实业的预期收益率之间 ,相差的不只是风险报酬。
7.
Risk Adjusted Return on Capital (RAROC)
风险调整资本回报率
8.
Risk-return Evaluation Based on Possibilistic Mean and Variance;
基于可能性均值和方差的金融风险报酬研究
9.
Study of Venture Capitalists Reward Mechanism Based on Human Capital;
基于人力资本理论的风险投资家报酬机制研究
10.
Performance index,Performance risk and Pay-performance sensitivity;
业绩指标、业绩风险与高管人员报酬的敏感性
11.
The best arrangement and the risk-loving of the owner or manager;
所有者和经营者的风险偏好与最佳报酬安排
12.
The Effects of Risk Preference and Compensation Contract on Budgetary Slack
基于风险偏好的报酬契约与预算松弛研究
13.
Risk Premium of the Term Structure of Repo Rates in the Shanghai Stock Exchange;
上海证券交易所回购利率期限结构的风险溢酬
14.
discounted rate
折现率 (贴现,经济报酬率)
15.
The Return of Risk or the Economic Rent from Information: A Theoretical Explanation of Disinhibition Effect of CEO s Compensation in China Listed Banks;
风险回报抑或信息租金:中国上市银行CEO报酬松绑效应的理论解释
16.
return on assets managed (ROAM)
可控资产投资报酬率
17.
Forecast Stock Market Returns of Shenzhen Based on Risk Anticipation;
基于风险预期的深市收益率预报研究
18.
The theory of CAPM made a new anation to the risk premium introduced by Keynes.
期货资本资产定价理论对凯恩斯的风险报酬作出了新的解释。