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returns ratio中文是什么意思

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  • In this model , the paper proves that there are more risks in human capital investment by expectation marginal return ratio of human capital , and compares human capital investment level between in risk and on certainty , and reviews the change of human capital investment level in original fortune rising , market interest rate rising , risk increasing . last the paper releases the assumptions of the model , discusses the change of human capital investment level in stochastic income , imperfect capital market
    在模型中,文章用人力资本的期望边际收益率证明了人力资本投资具有更大的风险,并对有无风险条件下的人力资本投资水平进行了比较;还考察了在初始财富增加、市场利率上升、风险增大时人力资本投资水平的变化;最后,进一步放松了基本模型中的假设,分析了收入能力是随机的和资本市场是不完备的情况下,人力资本投资水平的变化。
  • And we come to the following conclusions : ( 1 ) looked from the returns ratio target that , all funds achievement are better than the market datum combination ’ s in the sample time , but the funds overall achievement is inferior to interest rate ; ( 2 ) after the modification of the risk factor , our mutual funds outguess the market ; ( 3 ) there is not enough evidence that indicate that chinese security investment funds have choosing ability in the market opportunity and choosing ability in the security . ( 4 ) the achievement in the past of the fund can not represent market manifestation in the future of the fund . this article innovation mainly has following several aspects : ( 1 ) have established the overall target of a appraisal fund achievement and gone on the real example to analyze with the mathematics model , having solved the inconsistency problem of appraising the result of many kinds of
    在此背景下,本文希望通过借鉴国外对基金业绩评价方面的经验,结合我国的国情尝试尽可能真实的、多角度分析我国证券投资基金在不同市场时期的业绩特点,如投资基金的回报及其承担的风险,基金经理的择时能力和选股能力究竟怎样,基金业绩是否具有持续性等等,为基金投资者、监管者、基金管理公司以及基金的发展提供一些参考,以引导社会资源更多地流向拥有理性投资理念、资产管理能力出色的基金管理公司,实现资源的优化配置,进而推动市场投资理念走向成熟。
  • 2 . aiming at derivative security with nonlinear payment function and the “ fat tails ” in the financial data , we induce the definitions of var in chapter 5 and discuss its characters from both the cash value and the returns ratios as a random variable . moreover , we deliberate the algorithm of var in detail and the advantages & disadvantages of the various algorithms
    2 .针对具有非线性支付函数的衍生产品以及金融数据明显的“厚尾”现象,本文第五章对风险价值( var )分别从现金价值和收益率作为随机变量两方面进行归纳定义,讨论了var的性质,并详细研究了var的算法及各种算法的优缺点。
  • In 2004 , facing changeable management complexion , with opening up market , strengthening management , the csr meishan rolling stock company made the truck staple big and powerful , fostered new economy growth point actively , promoted enterprise ' s management level constantly , realized 820 million rmb income from sales the whole year , net profit of more than 7million rmb , the return ratio on net assets was 2 . 5 %
    2004年,中国南车集团公司眉山车辆厂面对复杂多变的经营形势,通过外拓市场,内强管理,做大做强货车主业,积极培育新的经济增长点,不断提升企业管理水平,全年实现销售收入8 2亿元,净利润700余万元,净资产收益率2 5 。
  • Through the empirical analysis , on one hand , we find there is no regression relation between p / e ( market price to earnings ratio ) and market return ratio , so the lower p / e cannot guide investors , on the other hand , we find there is negative regression relation between p / bv ( market price to book value ratio ) and market return ratio , so we conclude that the lower p / bv is significant for investors
    在分析中国证券市场上投资心理状况的前提下,对沪深两市上市公司相关指标进行研究和实证分析,发现在中国证券市场上,市盈率与投资收益率之间不存在线性相关性;而市净率与投资收益率之间存在负相关关系,以低市净率作为逆向投资策略的选股方法能够有效地指导投资者。
  • The model of this paper explores the links between the following factors and the credit rationing in china . the change of banks " attitude to credit risk may lead to credit rationing ; banks give much more emphasis on the trade cost and the payable value of collateral , which may give rise to credit rationing ; the decreasing of asset price during economic stagnation produces credit rationing ; the bias of banks " objective function from the maximization of profit and the transformation of the function relating to the reform of the financial system cause credit rationing ; if different parts of the whole markets are not integrated , the credit in the part with low capital return ratio will be rationed . during economic recession , banks tend to ration the credit in the high - risk market ; the removing of interest ceiling will narrow down the interest spread of deposit and credit at least during a period , which may strengthen credit rationing ; meanwhile , the vulnerable borrowers , including small and middle - sized enterprises , will get more credit from banks even though they have to pay a higher interest rate
    论文的模型探讨了下列因素和中国信贷配给现象之间的联系:商业银行对信贷风险的态度变化,在辨别和控制信贷风险上开始投入大量的成本,这一过程会导致信贷配给;商业银行对与法治环境相关的交易成本和抵押品清偿价值的日渐关注会导致信贷配给;宏观经济紧缩时期资产价格下降会导致信贷配给;商业银行经营目标函数偏离利润最大化,近几年金融业改革过程使商业银行目标函数发生变化,这一变化过程可能导致信贷配给;在市场分化的条件下,收益水平低的市场会遭受信贷配给;在经济下滑时期,商业银行尤其会对高风险市场配给信贷;利率市场化使商业银行的存贷利差至少在一段时间内缩窄,利差缩窄可能加重信贷配给的程度:在利率市场化条件下,弱势借款者,包括中小企业,遭受信贷配给的程度可能得到缓解,但支付的贷款利率水平将会升高。
  • If the home relatively excessive deposit can effectively transform to the foreign direct investment to seek the overseas higher investment returns ratio , then there is no occupies or the substitution of domestic investment and the expense phenomenon to develop foreign direct investment and the advantage is bigger than the shortcoming to our country ' s employment
    国内相对过量的储蓄若能有效地转化为对外直接投资寻求海外更高的投资收益率,那么发展对外直接投资就不存在挤占或替代国内投资和消费的现象,对我国的就业是利大于弊的。
  • This article precisely embarked from this angle , used multi - dimensional statistical analysis methods to company ' s comprehensive financial condition to the sample has been carried on , comprehensive appraises , and confirmed the relation by means of the statistical analysis methods between sample company ' s comprehensive financial condition and company share returns ratio relations
    本文正是从这一角度出发,利用多元统计分析方法对样本上市公司的财务状况进行了全面、综合地评价,并实证了样本公司的综合财务状况与公司股票收益率、综合财务状况与公司股票收益风险之间的关系。
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