irr 中文意思是什麼

irr 解釋
反應堆研究所
  1. There are three input variables in the analysis. the first two are the rental levels and the terminal market value of the office, and the same assumptions as in the irr analysis are used

    這項分析有三項可變因素,其中第一二項是租金水平及該辦事處的最終市值,我們採用了與計算內部回報率相同的假設。
  2. Mainly using irr analysis and graphical analysis of technical economics, the article take h go p etroleum international c ooperation o f c hina p reject as example, analyzed the current using petroleum exploration international cooperation psc contract model

    論文主要採用技術經濟學內部收益率分析法和圖示分析法,以我國hgo石油勘探國際合作項目為例,對我國現行石油勘探國際合作產品分成模式進行分析。
  3. 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

    年期外匯基金債券的收益率來作為我們的資金成本,這項內部回報率已遠遠超出我們的資金成本。
  4. Deposits subject to irr included

    受利率規則管制的存款包括:
  5. There are two main input variables in calculating the irr

    計算內部回報率涉及兩項主要的變動因素。
  6. A new method for evaluating irr by using the tangent line ' s interation method

    應用切線迭代法求內含報酬率的方法
  7. Progressive deregulation of the irr has taken place in phases since 1994

    自1994年起,本港分階段逐步撤銷利率規則。
  8. Internal rate of return irr

    內部收益率
  9. Irr internal rate of return

    內部收益率
  10. Par son aspect, la truffe est plut ? t arrondie, mais peut tre irr guli re en raison du terrain

    松露的外形是園的,但因其生長在地下的原因,常呈現不規則的形狀。
  11. Ct company " s atm project is creative and has competitive advantage. the project is profitable, the irr is 70. 65 %

    Ct的atm產品與服務具有創新和競爭優勢,投資回報率可達70 . 65 ,項目市場前景良好,具有可觀的盈利能力。
  12. As the liquidity shortage and the rise in interest rates stemmed the capital outflow under the automatic adjustment mechanism, the exchange rate rebounded from around 7. 75 to the intraday high of 7. 738 on january 12. when selling pressure on the hong kong dollar subsided, overnight hibor quickly eased back to around 5 per cent in the latter part of january. in line with the higher interbank interest rates, the savings deposit rate governed by the interest rate rule ( irr ) of the hong kong association of banks ( hkab ) was raised by 75 bps to 5. 5 per cent on january 12

    738的全日最高位。一月下旬,港元的沽售壓力減少后,隔夜港元銀行同業拆息迅速回落至5厘左右。基於銀行同業息率偏高,香港銀行公會利率規則定出的儲蓄存款利率也於一月十二日上調75基點,至5
  13. This thesis is composed of four parts. part one : analysis of the distance between china and the developed countries in the financial analysing of the m & a, then point out the reasons of the distance. part two : introduce the financial theories and the methods in the enterprises m & a activities of the developed countries, such as npv and irr

    本文通過比較法揭示了我國企業在兼并與收購的財務操作方面與西方存在的差距,並在西方財務理論的指導下運用了大量的現代財務分析方法,包括市盈率法、貼現法、超額收益法等,對我國企業並購的財務操作進行了系統的思考。
  14. The traditional method to assess the quit time is irr and accumulative gain rate. but they either ca n ' t consider the accumulative gains or ca n ' t consider the time and risk value. they have shown their shortage in decision making

    傳統評價退出時點的方法的有兩種: irr和累計收益率法, irr不能考慮累計收益因素;累計收益率不能考慮時間和風險因素,在決策中越來越顯示出其不足。
  15. And i also learned that when analyzing project risks we should find those key factors influencing the project returns, according to their sensitivity factors to irr, and then take appropriate preventive actions in order to ensure the expected economic returns of investment projects

    在分析項目風險時,應根據各因素對內部收益率的敏感系數大小排出可能給項目效益帶來風險的關鍵因素,並採取相應的防範措施,從而確保投資項目能達到預期的經濟效益。
  16. By comparing the eva with those indexes, such as the irr ( internal rate return ), mva and excess return, it draws the conclusion that the eva system is accordant to the requirements of the value - based management system

    本文首先從eva的理論淵源談起,對eva概念進行系統梳理。通過將其與內含報酬率、市場價值增量和超額回報指標進行比較,指出eva是切合價值管理要求的評價體系。
  17. In section three of this chapter, the author adopt to the gap analysis, 1995 - 2004, 10 years of 10 commercial bank interest rate sensitivity ratio calculation, give analysis of commercial banks ` irr assessment capabilities in the 10 years of market - oriented reforms, the level of

    這也是本文著力于探討利率風險評估的原因。對于商業銀行而言,利率風險取決於市場利率的波動程度和資產負債表期限不匹配的程度。重定價風險、基準風險、收益率曲線風險和期權風險
  18. After calculation, we got the result that the net present value ( npv ) was a positive number, the intemal rate of retum ( irr ) was higher than the weighted - average cost of capital ( wacc ), the investment payback period was l l. 7 years, the discoamed payback period was l 7. 2 years, the payback period of foreign govenunent loan was 7. l years, and the payback period of meb loan was 8. 2 years

    本調查報告的主要結論是:本項目交通條件良好,具備一定的市場條件,自然條件適宜建設2 5萬噸級碼頭,施工條件良好,項目的凈現值為正值,內部收益率高於加權平均資本成本,靜態投資回收期11 7年,動態投資回收期17
  19. However in china interest rate is restricted, most of commercial banks lack the consciousness of irr management, and the techniques and methods are behind the world. after the marketability of interest rate, they will meet big challenges

    我國由於長期實行利率管制,商業銀行普遍缺乏利率風險意識,利率風險管理的技術和方法大大落後於世界先進水平,在實現利率市場化后,銀行業必將遇到巨大的挑戰。
  20. The first section is the base of the whole thesis, including the conception of irr management, its procedure, and history. what " s more, it classifies irr and sum principles of its management ; the three kind techniques of irr management are the thread of the second section. it expounds different kinds of techniques, such as gap model, duration model, fras, future and option ; with the gap model and duration model, the third section use the balance sheet of our commercial banks to reveal the irr conditions of them ; on the basis of experiences of leading banks in the world, the paper puts forward several suggestions in the last section

    第1部分介紹了商業銀行利率風險管理的概念、過程,及其演進歷史,同時對利率風險進行了分類,總結了商業銀行利率風險管理的原則;文章的第2部分將現有的利率風險管理技術進行了歸類,以利率風險表內管理技術,表外管理技術和綜合管理技術為主線,分別介紹了早期的差額管理,搭配記賬管理,以及現在十分流行的缺口管理和持久期管理,同時對遠期利率,利率期貨等表外技術,及證券化等綜合管理技術作了簡單的介紹。
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