未調整收益率 的英文怎麼說

中文拼音 [wèidiàozhěngshōu]
未調整收益率 英文
unadjusted rate of return
  • : Ⅰ副詞1 (沒) did not; have not 2 (不) not Ⅱ名詞1 (地支的第八位) the eighth of the twelve ear...
  • 調 : Ⅰ動詞1 (配合得均勻合適) harmonize; suit well; fit in perfectly 2 (使配合得均勻合適) mix; adju...
  • : Ⅰ形容詞1 (全部在內; 完整) whole; all; complete 2 (整齊) neat; tidy; orderly Ⅱ動詞1 (整理; 整...
  • : Ⅰ動詞1 (把攤開的或分散的事物聚集、合攏) put away; take in 2 (收取) collect 3 (收割) harvest...
  • : Ⅰ名詞1 (好處) benefit; profit; advantage 2 (姓氏) a surname Ⅱ形容詞(有益的) beneficialⅢ動詞...
  • : 率名詞(比值) rate; ratio; proportion
  • 調整 : adjust; tune up; trim; trimming; variation; modulation; arrangement; debug; rectification; redres...
  • 收益率 : earning rate
  • 收益 : income; proceeds; profit; earnings; gains; avails; gainings
  1. Secondly in enterprise valuation cost method should proceed with book value of the financial statement, regard market value as adjusting orientation and reduce application range of cost method. when income method is adopted, four principles should be paid attention to : a : stage - by - stage income model should be used which is made by early stage income current value added by later stage income increase. b : net profit and net cash flow should be the majority of income volume

    其次為:企業價值評估採用成本法應從財務報表的賬面價值入手、以市場價值為調目標、減少成本法的應用范圍;採用法應以前期現值加後期額遞增的分階段模型,額以凈利潤、現金凈流量為主,預測以企業來發展潛力分析為前提的銷售入預測為主導,折現堅持不低於無風險報酬等四項原則,系數以回歸方程的測算為主;市場法中參照物企業選取應以同行業企業為基準、擴大數據來源,注重評估比可靠性驗證、利用多種比的配合等。
  2. At present, the investment performance of investment funds is evaluated in two aspects : one is to evaluate yield without risk adjustment, the other risk - adjusted yield

    摘要目前國內外評估投資基金的投資績效可從兩方面考慮,一是評估基金的經風險調,另一則是評估風險調之後的
  3. The results show that, if the risk is taken into consideration, most funds did n ' t gain extra - return rate above the market and investment managers did n ' t have the market timing and security selection ability. in addition, most funds " dea are inefficient. the management of investment funds must be improved

    實證結果表明:經過風險調,大多數基金能獲得超越市場平均水平的超額,即基金沒能戰勝市場;沒有證據支持基金經理具有市場時機選擇能力和選股能力;多數基金處于dea技術無效狀態,投入過量,產出不足;大多數基金投資雷同,沒有明顯的風格區分,基金管理人的管理能力還有待提高。
  4. We need to bereave of and adjust the risk assets, deal with bad assets, bring down the risk assets ratio, and increase the risk mitigating factors. what more important is to build a road adaptable to improve the capital adequacy ratio, according to the development of the risk management of the international banks and the need of basel, we should establish comprehensive risk management and improve risk measure technology. economic capital management has been theoretically and empirically testified for its critical role in managing risk in banking system

    一方面既要積極以各種手段剝離與調風險資產,加大處理不良資產,降低風險資產權重,增加風險釋緩作用;另一方面更重要的在來發展中制定適合我國銀行提高資本充足的路徑,根據國際銀行業風險管理的發展趨勢以及《新資本協議》的要求,盡快建立一套既能與國際銀行業接軌又適合我國銀行業的全面風險管理體系,努力提高風險識別和量化管理的水平;實施經濟資本預算管理,在各級行建立資本有償使用機制,強化資本對資產業務和風險資產擴張的硬約束,促使各級行大力拓展低風險、高的資產業務和中間業務,不斷提高自身資本積累能力。
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