portfolio income 中文意思是什麼

portfolio income 解釋
投資組合收入
  • portfolio : n. (pl. portfolios)1. 紙夾;文件夾;公事包。2. 部長[大臣]的職位。3. 〈美國〉有價證券一覽表[明細表];(保險)業務量[業務責任]。4. (藝術家等的)代表作選輯。
  • income : n (定期)收入,所得,收益。 an earned [unearned] income 勞動[不勞]所得。 draw a large income 收...
  1. The arithmetic mean expectation model is not able to measure the income of portfolio investment correctly as bonds are a kind of successive investment, but the geometric average expectation can measure the income of successive investment

    摘要由於證券是一種連續投資,算術平均收益率並不能完全反映投資的收益情況,而幾何平均期望收益率才能反映連續投資的實際收益。
  2. The group will continue to maintain a well - balanced portfolio of assets and earnings base which is attuned to market environment and development, and to monitor its recurrent income base and financial performances with a view to maximize shareholders returns

    本集團將繼續維持均衡的資產組合及盈利基礎,並配合市場環境及發展作出調度。本集團會繼續監察其經常性收入基礎及財務表現,務求為本公司股東締造最豐厚回報。
  3. The fund seeks to provide a stable income stream and long term capital appreciation through a portfolio which mainly consists of hong kong dollar denominated investment grade rate baa3 or better by moody s or other credit rating agency of similar standing bonds

    中銀香港港元收入基金是謀求透過一個主要由以港元為計價貨幣且具有投資評級(由穆迪或具有類似地位的其他信貸評級機構評為baa3級或以上)的債券組成的投資組合,以提供一個穩定的收入及長期資本增值。
  4. The fund seeks to provide a stable income stream and long term capital appreciation through a portfolio which mainly consists of hong kong dollar denominated investment grade ( rate baa3 or better by moody s or other credit rating agency of similar standing ) bonds

    中銀香港港元收入基金是謀求透過一個主要由以港元為計價貨幣且具有投資評級(由穆迪或具有類似地位的其他信貸評級機構評為baa3級或以上)的債券組成的投資組合,以提供一個穩定的收入及長期資本增值。
  5. Sensitivity analysis to the e ? cient frontier and the optimal solution of the portfolio with lower budge constraint are studied when mean or risk of some security is changeable ; ? the portfolio selection models with the ? xed consumption - income and the continuous - time incomplete information are introduced ? nally

    針對帶有投資資金下界約束的m - v證券投資決策模型,我們對其有效前沿和最優解進行了靈敏度分析,得到了當某一證券的期望收益率或風險發生變化時最優投資組合的有效邊界和最優解的變化情況;
  6. In this case, you ' d probably construct a portfolio with some shares ( but not high risk ones ), along with gilts, cash deposits, and perhaps convertibles or the income shares of split capital investment trusts

    在這種情況下,你大概想制定一份包括某些股份(但不是風險很大的股份)的投資組合,同時還有高度可靠的證券、現金儲蓄,可能還有可換證券,或分割資本投資信託公司的所得股。
  7. Starting at retail of bonds, funds, deposit certificates and shares, more selling products will be sought from fund houses. innovative products, which are in line with the market demand and under risk control, should be pushed forward. by virtue of new product exploitation, banks can avert risks, adjust loan portfolio and increase income

    開拓非利息收入業務,如積極銷售債券、基金、存款證及股票等,進一步推出以市場化為取向的基金公司和基金產品,鼓勵創新,凡是適應市場需求的品種,在有效控制風險的基礎上,都應該積極推進。
  8. The increase in pat mainly reflected an increase of hk 149. 5 million in net interest income from an enlarged retained mortgage portfolio and the wide prime - hibor spread

    未經審核除稅后溢利的增幅,主要反映擴大了的按揭組合效果,以及受惠于香港最優惠利率與香港銀行同業拆息之間擴闊的息差,使凈利息收入增加1 . 495億港元。
  9. To the extent that interest income arising from the us assets in the backing portfolio exceeded interest payments on exchange fund paper, the backing ratio would rise over time

    只要來自支持組合內美元資產的利息收入超過外匯基金票據和債券的利息支出,支持比率便會逐步上升。
  10. When they invest, the social security funds must obey the principal of safety first, income orientated, and floating well. in the process of investing, the social security funds can use different financial tools to diversify the portfolio, control the scale of high - risk tools and the risk grade, and envision long - term strategies

    社保基金必須按照安全性、收益性、流動性的原則進行投資,投資過程中可以選擇不同的策略和金融工具,進行分散化投資,控制投資風險的等級和高風險投資工具的比例,並注重投資的長期性。
  11. Signature homes reported a successful 2006 as a result of positive market sentiment and other factors fuelling rapid economic expansion on the mainland and drawing many multinationals to base operations in hong kong. the company s total portfolio income was close to 500 million. signature homes is the residential leasing arm of sun hung kai properties

    本港經濟發展強勁,加上與國內經濟進一步融合,吸引不少外資機構來港開設公司發展,新鴻基地產旗下出租豪宅品牌signature homes受惠于這些利好因素,于去年獲得卓越成績,全年租金收入接近5億元,業績持續上升,成績斐然。
  12. This well - diversified investment property portfolio generated gross rental income of hk 6, 466 million in the 2005 06 financial year. group finance

    本集團的投資物業組合多元化,在2005 06財政年度,為集團帶來港幣64 . 66億元的總租金收益。
  13. Although the exchange fund will continue to receive steady interest income from the bond portfolio, valuation effects will almost certainly produce a low, if not negative, rate of return

    盡管外匯基金會繼續自債券組合中獲得穩定的利息收入,但因為估值下跌的影響,回報率即使並非負數,也屬偏低。
  14. " money that my portfolio earns is passive income, for example.

    我投資所賺的錢是屬于額外的收入。
  15. The result about the analysis of the portfolio shows that as long as arbitrage chance exists, each investor can get higher income, not increasing risk, no matter he is a risk averter or seeker

    對此套利組合的分析結果表明:只要存在無風險套利機會,無論風險投資者的偏好如何,都能在不增加風險的基礎上,獲得較高的收益。
  16. A large part of the increase in december was attributable to net interest income on the backing portfolio, helped by a favourable interest differential

    月份支持比率上升,主要是由於美元息口較港元息口為高,使支持組合錄得凈利息收入。
  17. Commodities prices have negative to low correlation to other asset classes, like equities, fixed income and foreign exchange. as such, there are diversification benefits from including commodities in a portfolio

    商品價格與其它如證券,固定收入和外匯類資產間呈負相關或低相關性。如此,從包括商品在內的投資組合中便可獲得多樣的收益。
  18. The increase in pat mainly reflected an increase of hk 28. 5 million in net interest income from an enlarged retained mortgage portfolio, an increase of hk 7. 4 million in mortgage insurance premium earned and an increase of hk 3. 6 million in fee income derived from the two mortgage - backed securitisation programmes

    與此同時,由於反映保留按揭組合規模的擴大,貸款撥備增加1 , 430萬港元,及由於一項於二零零一年已入賬的稅項撥回
  19. As the prevailing mortgage rate is broadly in line with the yields of the hkmc s debt securities of 3 to 5 years maturity, the combined return from the debt securities and the fee for servicing the mortgage loans for the hkmc will exceed the interest income from retaining the mortgage loans in its asset portfolio

    由於目前的按揭利率與按揭證券公司至年期的債券收益率大致相同,所以來自債券及供款管理費的合併回報,會超越有關按揭貸款保留在其資產組合內所得的利息收入。
  20. Topics include portfolio theory, capital markets, equities, fixed - income securities, derivative assets, and portfolio management

    探討主題包括投資組合理論、資本市場、股票、固定收益證券、衍生性資產及有價證券管理等。
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