expected rate of return 中文意思是什麼

expected rate of return 解釋
預期報酬率
  • expected : 期待,期望
  • rate : n 1 比率,率;速度,進度;程度;(鐘的快慢)差率。2 價格;行市,行情;估價,評價;費,費用,運費...
  • of : OF =Old French 古法語。
  • return : vi 1 回轉,回來,回去,返回,折回 ( to)。2 再來,又來;復發,回復,恢復。3 回頭說正經話,回到本...
  1. This paper discusses the estimation of the expected rate of return of stock price process

    摘要本文討論了股票價格過程期望收益率的估計問題。
  2. 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期回報等於無風險回報率的點畫一條切線。
  3. The result indicates that risk preference coefficient with short sales allowed reflects the investor ' s expected rate of return and the variance within the entire interval

    計算結果表明,風險偏好系數在整個取值范圍內都能夠較好地反映投資者對收益和風險的選擇態度,而且,含無風險資產的借貸拓展了投資機會空間。
  4. Using the expect theory, this paper intents to study how the expected return rate of stock market affects the investment behaviors and how the investment behaviors affect on the development of stock market. the paper also raises some suggestion on the construction of stock market

    本文試圖利用預期理論分析預期收益率不確定對投資者投資行為的影響,以及投資者行為的選擇對股票市場發展的影響,從而提出我國股票市場建設的一些建議。
  5. The world of risk neutral is an imaginary world in which the expected return rate of all risky assets equals to risk - free return rate

    風險中性的世界是一個假想的世界,在風險中性世界中所有風險資產的預期收益率等於無風險收益率。
  6. The result shows that the method of lowest return rate for comprehensively predetermined projects can both restrain investors ' behavior of increasing funds viciously and make the predetermined lowest return rate close to the lowest return rate expected by companies

    驗證結果表明:綜合設定項目最低報酬率的方式既能有效地抑制惡性增資行為,又可以使設定的最低報酬率與公司期望的最低報酬率無顯著差異。
  7. Clearly you should use the currently expected rate of return on the market portfolio ; that is the return investors would forgo by investing in the proposed project

    很明顯你應該用市場組合的當前期望回報率;那就是投資者因投資建議的項目而將放棄的回報。
  8. The investment objectives define the investment strategy which involves a trade off between risk, liquidity and the expected rate of return

    基金的投資目標決定基金的投資策略,而不同的投資策略總離不開在回報率風險和流動性這三者之間作出取捨。
  9. Each year the trustees review the spending policy to ensure that the real value of the permanent fund grows over time and that the annual spending rate does not exceed the expected long - term rate of return less the expected rate of inflation

    答:每年保管委員會重新討論經費使用政策以確保永久基金的真實價值會與日俱增,並且每年的經費使用比率不會超過預期的長期盈利率扣除預期的通貨膨脹率。
  10. A : each year the trustees review the spending policy to ensure that the real value of the permanent fund grows over time and that the annual spending rate does not exceed the expected long - term rate of return less the expected rate of inflation

    答:每年保管委員會重新討論經費使用政策以確保永久基金的真實價值會與日俱增,並且每年的經費使用比率不會超過預期的長期盈利率扣除預期的通貨膨脹率。
  11. As the traditional stock pricing method, dividend discount model is defective in that it cannot precisely determine the expected rate of return of investors and future payment of cash dividend

    摘要傳統的股票定價方法主要是股利折現模型,由於不能精確地確定投資者的預期收益率和未來支付的現金股利,因此傳統的股票定價方法存在一定缺陷。
  12. Assuming that the rates of return obey normal distribution, chapter 4 combines the advantages between the mean - var model and the chance - constrained programming model and presents a chance - constrained mean - var portfolio problem with short selling, which is determined by expected rate of return and confidence level

    以此可作為投資管理參考的依據,具有一定的實際意義。本文第四章提出了在允許賣空時的機會約束下的均值? var模型,它是以期望收益率與置信水平為導向的。
  13. 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。
  14. 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。
  15. Many reasons cause that the people ' s fund dare not to enter stock market. the direct reasons are the expected return rate of stock market is highly uncertainly and the risk & return is non - symmetric

    居民資金不敢進入股票市場的原因很多,其中我國股票市場的預期收益率高度不確定,風險與收益不對稱是最直接的原因。
  16. This approach is not in need of determining the expected rate of return of investors or estimating future cash dividend, but the corporate historic and present assets value, thus overcoming the shortcomings of the traditional methods

    該方法不需確定投資者的預期收益率,也不需估計未來的現金股利,只需要知道公司歷史的和現在的資產評估價值就可以對股票進行估值,從而克服了傳統股票定價方法的缺陷。
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