期回報率 的英文怎麼說

中文拼音 [huíbào]
期回報率 英文
periodic rate of return
  • : 期名詞[書面語]1. (一周年) a full year; anniversary 2. (一整月) a full month
  • : 回構詞成分。
  • : Ⅰ動詞1 (告知; 報告) report; declare; announce 2 (回答) reply; respond; reciprocate 3 (答謝)...
  • : 率名詞(比值) rate; ratio; proportion
  1. Therefore, they require a higher return from the market portfolio than from treasury bills

    所以,他們要求從市場投資組合得到一個比短國庫券更高的
  2. Treasury bills are regarded as risk free because they are guaranteed by the government

    國庫券為政府發行的短債券,風險極低,其被視為可代表無風險投資
  3. In figure 8. 7 we have plotted the risk and expected return from treasury bills and the market portfolio

    在圖形8 . 7中我們標出了短國庫券和市場投資組合的風險和
  4. Hurdle rate : in discounted cashflow analysis, the rate of return below which an investment is not worth making. used more with capital expenditure than securities investments

    投資)最低要求,最低預期回報率:現金流貼現分析中指投資值得考慮的最低,更多用於資本支出而不是證券投資。
  5. If we use the yield of the 10 - year exchange fund bonds as a proxy of our cost of capital, this irr is well above this hurdle rate

    外匯基金債券的收益來作為我們的資金成本,這項內部已遠遠超出我們的資金成本。
  6. 9remember that the risk premium is the difference between the investment ' s expected return and the risk - free rate. for treasury bills, the difference is zero

    9記住風險溢價是投資的和無風險利之間的差額。對短國庫券來說,這一差額為零。
  7. In these cases the company cost of capital and the expected return on the stock are the same thing

    在這些例子中,公司資本成本和股票的就是一事情。
  8. Application of the new system not only increased the efficiency of decision making, but also improved the correctness of decision making and increased the investment benefit. as shown in a incomplete statistic, 515. 900 million rmb was invested on new project including technical change project during 2002 - 2004, with an average profit if 96. 62 million rmb and a average payback period of 5. 33 year and a investment payback rate of 18. 76 %. key project and some representative project basically reach the expect purpose

    據不完全統計,在2002年? 2004年間,總公司用於新項目投資(包含技改項目)資金為51590萬元,年均總利潤為9662萬元,平均投資為5 . 33年,投資18 . 76 % ,在扣除安全、環保等不直接產生效益的投資項目后,重點項目及一些具有代表性的項目基本達到了總公司4年收投資的預收益目標。
  9. The cml is derived by drawing a tangent line from the intercept point on the efficient frontier to the point where the expected return equals the risk - free rate of return

    Cml來自於從有效邊界上的截取點到預等於無風險的點畫一條切線。
  10. Basic business needs such as lowering costs, reducing cycle times, integration across the enterprise, b2b and b2c integration, greater roi, creating an adaptive and responsive business model, and so on keep us looking for better solutions ; but more and more, we are finding that " point solutions " won t solve the basic problem

    基本的業務需求,諸如降低成本、減少開發周、跨企業集成、企業到企業( b2b )和企業到顧客( b2c )集成、更大的投資( roi ) 、創建自適應的和自響應的業務模型等等,使我們不停地尋找更好的解決方案;但是,我們越來越覺得「點解決方案( point solutions ) 」不能解決這樣的基本問題。
  11. But now it has little contribution to economy growth, reasons are : china stock exchange ' s development rule is disturbed by administration badly ; owner right structure and owner right base have problems ; investor is n ' t perfect ; media company has problems ; etc. the third part : advice for exerting stock exchange ' s promotion effect to economy growth fully

    但是它對我國目前的經濟增長的貢獻是微弱的,原因有:中國股市的缺乏穩定性,影響人們對持久性收入的預;股票市場變量對總需求和總產出影響較小;中國股票市場的發展機制被行政力量嚴重扭曲;股權結構和股權基礎存在問題;投資主體不完善;中介機構存在問題,等等。
  12. Still, i want to point out that the major medium - term financial targets set by the budget involve high strategic risks. these targets include the projected rate of investment return, land premia, the scope for downward adjustment in civil servant salaries, and the rate of economic growth

    但我覺得仍然要提出的,就是中的主要財政指標,仍處處隱藏著策略性高風險,這些包括投資、賣地收入、公務員減薪幅度、經濟增長的速度。
  13. As for the dollar, the reason to worry would be if a falling currency prompted foreign investors to demand higher yields on american treasury bonds to compensate them for the risk

    對美元來說,令人擔憂的原因在於,如果發生貶值,將會促使外國的投資者們對長國債有一個更高的要求,以作為對他們風險的補償。
  14. Any factor that changes the expected returns on domestic or foreign deposits will lead to changes in the exchange rate

    任何改變本幣和外幣存款預期回報率的因素,都將導致匯的變動。
  15. If stock returns are predictable, expected returns of stock are time - varying

    如果股票的是可預測的,那麼股票的預期回報率是時變的。
  16. Based on factors such as personal expected return, acceptable risk level, transaction costs involved and preference on regional investment allocation, portimizer will come up with the most appropriate investment portfolio proposal or a re - balanced investment portfolio proposal that suits your investment goals. what s more, the system can generate investment suggestions that perform better than a particular investment index of your choice e. g. hang seng index

    共同研發的投資智庫系統,可按個人風險承受能力預期回報率交易徵費及選擇投資的地區分佈等考慮因素,為投資者建議最理想的投資組合併針對所持有的投資組合進行優化重組,甚至以香港恆生指數或外國股票市場指數為指標,設計出比指標更高的投資組合。
  17. These protected funds have lower risk than other covered call funds, and lower expected returns

    這些保護型基金的風險低於其它備兌買入基金,但預期回報率也較低。
  18. However, it is very likely that hong kong underwriters may ask for an unfavourably low pe ratio in listing cyberspace companies, as these companies usually have difficulties to show profit in short to medium - term

    但由於發展數碼公司的短中期回報率未必得到商界的認同,這些公司在上市時可能遇上許多困難,例如一些上市包銷商可能要求數碼公司以極低市盈來進行包銷。
  19. The rational explanation for this phenomenon is that the risk - adjusted expected rate of return of holding us assets is higher than that of domestic investments and that of investments in other parts of the world

    出現這個情況,理性的解釋是美元資產比本地或世界其他地方的資產有更高的經風險調整預期回報率。不過,我們還可以考慮其他幾個解釋。
  20. As the developing economies progress and the risk - adjusted expected rate of return in domestic investments or investments within the region rises relative to those of the developed economies, and as the growing concentration of claims against us residents leads logically to diversification, a significant correction in the external imbalance may eventually occur

    隨著發展中經濟體系不斷進步,相對在先進國家的投資,本地投資或區內投資的經風險調整預期回報率上升,同時對美國居民的債權的集中程度不斷增加亦理所當然地令投資者考慮分散風險,因此國際收支失衡的情況最終可能會出現大幅度調整。
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