capital market yield 中文意思是什麼

capital market yield 解釋
資本市場生息率
  • capital : adj 1 首位的,最重要的,主要的,基本的,根本的。2 〈口語〉優秀的,上好的,第一流的。3 大寫(字母...
  • market : n 1 (尤指牲畜和食品的)集市;市場;菜市,菜場。2 需要,銷路;推銷地區。3 市價;行情,市面,市況...
  • yield : vt 1 生出,產生(作物、報酬、利益等)。2 給與,讓與;讓渡;放棄(權利、地位等);交出。3 承認。4 ...
  1. The average dividend yield on the american market between 1926 and 1950 was 5. 5 %, according to barclays capital

    據巴萊克銀行統計, 1926至1950年間美國市場平均股息收益率為5 . 5 % 。
  2. The paper also puts forward suggestions on those problems in the fourth chapter. finally, the paper studies the supervision function of the stock market in order to increase the capital yield

    最後本文研究了股票市場的監控功能? ?通過股票市場對上市公司實施有效的外部監控,以提高企業的資本收益率,作為股票市場實現資源配置功能的一個保證機制。
  3. Corresponding to the reform of share - holding system and going on the market of state - owned enterprise, the listing of scb must meet two conditions that are capital adequacy ratio and asset yield ratio

    國有商業銀行上市相當于國有企業改造為股份制企業並上市,必須要滿足兩個條件:資本充足率條件和資產收益率條件。這是國有商業銀行上市的理論基礎。 2
  4. It is difficult for the state - owned commercial banks to go on the market mainly because their conditions of the listing have not met the relative regulations, which are capital adequacy ratio and asset yield ratio

    大量的壞賬準備金的提取將使銀行的帳目從盈利轉向虧損;資產質量的低下也嚴重侵蝕了銀行的資本金;證券市場的規模難以達到。另一方面,銀行分拆上市難。
  5. And analyze chinese stocks market to know the relationship betweem the stocks ' profit and the risk. through the analyzing, the conclusion is : chinese stocks market is far below maturity ; the stock ' s yield fluctuate frequently and being chaotic ; chinese stocks yields have no relation to their benefit or management degree, but based on the profit by capital transacting

    通過分析表明:我國股市尚處于很不規范的階段,股市數據噪音相當大,股票收益率的波動很頻繁,接近於隨機序列,而成熟股市表現為一個收益率加強的趨勢。我國股票的投資收益率和股票的利潤及經營業績的相關性不大,收益主要體現在資本利得上。
  6. The forth chapter is the demonstration part of the thesis, we make a portfolio by the above research result. compared with the portfolio founded by simple index, the former yield is more than the latter, which indicates that our risk model and portfolio is rational and effective in recent china capital market, and bring more yield to the normal investors

    第四章是論文的實證部分,用前面的研究成果來模擬建立一個投資組合,與根據單指數模型建立的投資組合相比較,前者的收益率要大於後者,這說明我們提出的風險模型及據此建立的投資組合是合理有效的,它可以更好地描述和控制證券的投資風險,為廣大投資者帶來更加可觀的收益。
  7. It is firstly burned from america and greatly developed in this country. according to the american open - end fund, this paper discusses the production, development and present condition of open - end fund modern capital market and its stabling - implement function in security market. the value of open - end fund is determined by yield rate and risk factors under definite time and volume of investment, which is the fundamental principle level

    開放式基金最早產生於美國,並在美國獲得了大發展,本文以美國的開放式基金為參照,詳細論述了開放式基金的形成、發展與現狀;開放式基金在現代資本市場中的連結紐帶作用,在證券市場中的穩定器的作用。
  8. The investment of exponential fund adopts the investment strategy that plans to add up to target index yield, the component of index of target of dispersive invest in, the yield that stock of do one ' s best sets plans to add up to the average yield of the capital market that place of this target index represents

    指數基金的投資採取擬合目標指數收益率的投資策略,分散投資于目標指數的成份股,力求股票組合的收益率擬合該目標指數所代表的資本市場的平均收益率。
  9. Since the first mutual fund was put on sale in september of 2001, the mutual fund has stepped into fast - developing period in our country. as one of the financing tools, open - end funds have the character of buying or selling fund shares anytime, which contents to the require of dynamic balance between liquidity and yield of investers in securities business. so, they had compelling achievement during the stagnant market. in the base of yinhe fund research center ’ s date about funds in china in 2005, china funds ’ net value breakthrough rmb 400 billion for the first time to rmb 417. 8 billion. open - end funds ’ size percentage to total funds ’ size in china have raise from 75 % to 81 %. in 2004, there emergence the size of rmb 10 billion stock fund which first launch. but, whether this big size fund can fit well in our capital market in general

    作為一種理財工具,開放式基金以其特有的「可隨時申購與贖回」的制度安排,較好地滿足了證券市場上投資者在資金的流動性與收益性之間的動態平衡的要求。因此,在並不景氣的證券市場上,開放式基金取得了令人矚目的成績。根據銀河基金研究中心對中國基金業2005年上半年數據的統計,中國基金業凈值規模首次突破四千億大關,達到了4178億元。
  10. The primary parameters in the model are risk - free yield and volatility. in foreign developed capital market, risk - free yield is exclusive

    最後,上證50etf期權對交易各方將會產生如何影響進行了分析並提出啟示。
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