隨意漲價 的英文怎麼說

中文拼音 [suízhǎngjià]
隨意漲價 英文
random inflation of price
  • : Ⅰ動詞1 (跟; 跟隨) follow 2 (順從) comply with; adapt to 3 (任憑; 由著) let (sb do as he li...
  • : Ⅰ名詞1 (意思) meaning; idea 2 (心愿; 願望) wish; desire; intention 3 (人或事物流露的情態)su...
  • : 漲動詞1 (體積增大) swell up 2 (充血) (of the head) be swelled by a rush of blood 3 (多出; ...
  • : 名詞1. (價格) price 2. (價值) value 3. [化學] (化合價) valence
  • 隨意 : at will; as one pleases; free rein; ad lib; ad libitum
  • 漲價 : rise in price; inflation of prices漲價方針 inflationary policy
  1. This process can be concluded as : stock price rised significantly which was pulled intently until one month away from seo declaration, the markup became small little by little till one week before seo declaration, then the price converted to go down and the markdown became large after the declaration of seo, it continued the situation about one month after the declaration, later the power of short position began to die down, weakening the extent of decline, the market condition turning to be fine

    該影響過程可總結為:增發宣告前股先顯著上,大多是被故拉高,到增發宣告前一個月時幅逐漸變小,至增發宣告前一周左右轉為小幅下跌,等宣告后股開始大幅狂跌,而後持續至增發宣告后一個月左右,空方力量開始變弱,下跌程度減少,市場情況慢慢開始轉好,著時間的推移,這種下跌變得越來越不明顯。
  2. Study work mainly is : part one, look back and look ahead the financial development history and present situation that derives market and the futuristic tendency, summarize domestic and international theory and method about venture capital investment, discuss establishment and develop the financial necessariness and important meaning of our country that derives market ; part two, establishthe relation between investment risk and the radom expectation effectiveness of investor ? verage stochastic dominance of asset profit ; part three, covari - ance matrix in mean - variance model is analysed with sensitivity analysis and fuzzy analysis ; part four, have looked back the concept of option, the price relation of option and black - scholes option price formula, have put forward option price formula of the discounted value of option present value ; part five, have looked back the financial concept and its classfication that financial derivatives risk, have summarized financial risk management theory, measured and assessed methods of financial derivatives risk

    主要研究工作為:第一章,回顧和展望金融衍生市場的發展歷史、現狀和未來,綜述國內外關于風險投資的理論與方法,論述建立和發展我國金融衍生市場的必要性及重要義;第二章,建立投資者的機期望效用與投資風險之間的關系? ?平均機占優;第三章,均值方差模型協方差矩陣的靈敏度分析與模糊分析;第四章,回顧了期權的概念、期權的格關系和black - scholes期權定公式,提出了歐式看期權格的折現值所滿足的微分方程;第五章,回顧了金融衍生品風險的概念及其分類,總結了金融衍生品的風險管理理論和金融衍生品風險計量和評估方法。
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