Investors should understand the risks and returns of investing in the notes before they make their investment decisions 投资者在作出投资决定前,应先了解投资于债券的风险与回报。
Risk management is to minimize risk over the long run and make risks and returns a perfect match 而风险管理的目的则是尽可能降低未来的风险因素,并使自身承担的风险能够与实际的收益相匹配。
Understanding the relationship between risk and return is essential to understanding why people make some of the investment decisions they do 当你作投资决定的时候,你必须首先考虑该投资所带来的风险和收益。
4 ) short - term momentum strategy has tremendous risk , and is unable to gain return . risk and return are not positively correlative 第四,短期动量投资策略承担了巨大风险,但不能获得投资收益,风险与收益并不正相关。
In the modern investment theory , only the approach with risk and returns can significantly evaluate performance of securities investment funds 现代理论认为,只有引进风险价值因素的绩效评估方法才能有效地对基金做出评价。
To this end , it is of paramount importance that the communication between all the parties be enhanced and effect an equitable sharing of risks and returns in the process of procurement and in contract agreement 要建立伴合作文化,最重要的莫过于要加强彼此的沟通,以及在采购和合约安排上能将风险及回报公平地分配。
To this end , it is of paramount importance that the communication between all the parties be enhanced and effect an equitable sharing of risks and returns in the process of procurement and in contract agreement 要建立伴合作文化,最重要的莫过于要加强彼此的沟通,以及在采购和合约安排上能将风险及回报公平地分配。
Thus , the core of evaluation is to measure and calculate risks and returns accurately , which can describe the real returns of the securities investment funds completely and validly 因此,基金绩效评估的核心应该是对其所面临的风险进行准确的计算和度量。这种经风险调整后的绩效评估方法才能更全面、有效的描述基金的真实收益。
Mr . tao guangyuan chief representative of beijing office , deutsch - chinese economic and trade cooperation center gave a presentation entitled opportunity , risk and return analysis on investment into renewable energy in china 德中经贸合作中心副总经理高级经济师陶光远先生作了题为在中国投资可再生能源的机会收益和风险分析的报告。
One of the issues that catch more eyes is the relationship between the risk and return in stock market . furthermore , that the basic factors affected the stock return has become the highlight study issue in recent two or three years 其中,证券市场的风险收益关系问题是多年来颇受瞩目的焦点问题之一,而影响股票收益率的基本面因素则是近两三年更为关注的研究课题。