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1.
"basis point:One one-hundredth of a percent, used in measuring yield differences among bonds."
基点:万分之一点,用来测量票据间收益差值
2.
Consumption-utility based pricing of payments following mean reversion
均值回复收益的消费效用无差别定价
3.
reverse yield gap
反收益率差距; 反向的收益差距; 反向收益差距; 反转收益率差距; 逆收益差额
4.
As cash is currently yielding around a similar yield to bonds we do not see much value in the bond market.
因为目前现金的收益与债券的收益相差无几,我们认为债券市场没有太多投资价值。
5.
The author inquiers into preliminarily profits and risks of portfolio investment and makes use of variance and expectation to describe the rate of negotiable securities investment.
本文初步探讨有关组合证券的收益与风险 ,利用均值和方差来描述证券投资收益率。
6.
Film has traditionally been a good business and a bad investment.
一直以来,电影都具有不错的商业价值,但投资收益却比较差。
7.
Dynamic portfolio selection based on serially correlated return-Dynamic mean-variance formulation;
基于收益序列相关的动态投资组合选择——动态均值-方差模型
8.
internal rate of return of incremental investment
差额投资内部收益率
9.
Whenever the carrying amount of an asset exceeds its recoverable amount, an impairment loss representing the difference between the carrying amount and the recoverable amount is recognized in the income statement.
倘资产净值高于可收回金额时,两者差异(即指减值亏损)会于收益表中确认。
10.
accretion concept of income
收益的自然增值概念
11.
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
12.
ratio of net income to net worth
净收益对资本净值比率;净收益对资本净值比率
13.
MULTIPERIOD PORTFOLIO BASED ON RETURN AND ERRORS SQUARE SUM OF THE RETURN;
基于收益及收益偏差平方和多期组合投资
14.
The balance of the proceeds from the alienation or disposal of fixed assets at the current price, after the net unamortized value or the residual value of the assets is deducted, shall be entered into the profit and loss account for the current year.
转让或变价处理固定资产的收入,减除未折旧的净额或残值后的差额,列为当年度的损益。
15.
The paper raises a mean-absolute deviation porfolio optimal selection model on account of the historical return data.
本文给出了基于历史收益率数据的均值—平均绝对离差型组合证券投资优化模型。
16.
Risk-adjusted-return and its application in investment decision --a complement for mean-variance decision rule;
风险调整收益及其在投资决策中的应用——对均值—方差决策准则一点补充
17.
Risk-Adjusted-Return and its Applications in Investment Decision--A Complementarity for Mean-Variance Decision Rule;
风险调整收益及其在投资决策中的应用——对均值-方差决策准则的一点补充
18.
Analysis of the Unbalanced Social Interests on the Income Gap;
收入差距导致社会利益失衡问题探析