risk-free 中文意思是什麼

risk-free 解釋
零風險的
  • risk : n 1 風險,危險;冒險。2 【保險】(損失的)風險(率);保險金額;被保險人,被保險物。vt 冒…的危險...
  • free : adj (freer; freest)1 自由的,自主的;自立的。 a free action 自由行動。 free competition 自由競...
  1. Usually, getting started in a business involves a big investment and high risk, yet amway is a risk - free enterprise

    以往的生意都需要很大的投資,風險很高,但發展安利生意就不會受風險與時間所限,全憑夢想推動工作。
  2. And we ' ll be able to savor all sorts of risky behaviors, from skydiving to cigar smoking, in a risk - free way

    並且,我們還將以無風險的方式使人們充分體驗從跳傘到抽雪茄等各種冒險行為。
  3. Treasury bills are regarded as risk free because they are guaranteed by the government

    國庫券為政府發行的短期債券,風險極低,其回報率被視為可代表無風險投資回報率。
  4. Chapter three analyses the suitable pricing model of our country ' s mbs, and by studying secular trend and fluctuation of risk free interest rate and the term structure of interest rate of national debt, i propose an option model based on floating interest rate mbs which will be issued in our country. next, cash flow current value method is used to carry out the empirical test

    第三章分析了適合我國住房抵押支持證券的定價模型,通過研究我國無風險利率長期趨勢值、波動性以及國債利率期限結構,提出我國發行浮動利率抵押支持證券的期權定價模型,並應用現金流現值定價法對我國發行固定利率住房抵押傳遞證券的定價進行實例分析。
  5. On multi - factor portfolio model with holding of risk - free assets allowed

    允許持有無風險資產多因素投資組合模型研究
  6. Allocation of invested funds between risk - free assets and the risky portfolio

    是指投資基金在無風險資產與有風險資產組合之間的配置決策。
  7. Chapter 3 discusses the general financial market consist of only one basic risk asset and one risk - free asset

    第三章討論以十的風險資產作為基本資產的市場。
  8. The first 3 chapters discuss the two basic assets financial market ( one risk asset, and one risk - free asset )

    前三章所討論的拋都只由葉基本的風險資產,和一個無風險資飾成。
  9. A utility maximization model of the investment portfolio including risk - free asset is put forward, with short sales allowed

    摘要提出了在允許賣空情況下含有無風險資產且借貸利率不同的效用最大化的投資組合模型。
  10. The cml is considered to be superior to the efficient frontier since it takes into account the inclusion of a risk - free asset in the portfolio

    Cml被認為對有效邊界來說是更高級的,因為它考慮到了投資組合的無風險資產的內容。
  11. Chapter 2 discusses the simple financial market consist of only one basic risk simple asset ( as a random variable, its return is simple, i. e., takes only finitely many different values ) and one risk - free asset

    第二章討論以簡單的風險資產,即覷回嗣以鰱多有限種不同的可湘的風險資班為基本資產的市場。
  12. The whole dissertation has been divided into four chapters. chapter 1 discusses the simplest financial market consist of only one basic risk asset fc and one risk - free asset nfc, the later just means keeping your money in your pocket without any really trading

    全文分四章,第一章討論最簡單的帶風險資產的市場,只由一個最簡單的風險資產fc作為基本風險資產,和一個實際上沒有任何交易的「無風險資產』扣fc (把前留在自己的口袋裡,不進行投資)構成。
  13. 9remember that the risk premium is the difference between the investment ' s expected return and the risk - free rate. for treasury bills, the difference is zero

    9記住風險溢價是投資的期望回報率和無風險利率之間的差額。對短期國庫券來說,這一差額為零。
  14. The risk discount rate of shaanxi relics tourist project finance is based on the theory of capital asset pricing model, and accorded with capital market joined in the project. founded upon the research of risk - free rate ( rf ), capital market average advantage rate ( rm ), risk coefficient ( ) and etc. this discount is the basic payoff that can reflect risk and earning in relics tourist project correctly. to define this risk discount rate has a practical significance for large relics tourism project, also, it is instructive to the negotirfim befor the project, the control of risk periold of exercise and the completion of the project

    陜西遺址旅遊項目融資風險貼現率的確定是以資本資產定價模型為理論基礎,以與項目相關的資本市場為依據,在對項目的無風險收益率r _ ( f , )資本市場平均收益率r _ ( m , )和項目風險系數等參數的定量研究的基礎上分析得來的能正確反映陜西遺址旅遊項目開發過程中的風險與收益之間關系的期望收益率。
  15. So, it ' s virtually risk - free for you

    所以,事實上對您而言,是完全沒有風險的。
  16. It ' ll save you a lot of money and virtually it ' s risk - free foryou

    這可以為您節省很多錢而且實際上對你而言,是完全沒有風險的。
  17. 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。
  18. However, financial analysis indicated that the dcs construction is capital - intensive and the business is not risk free. therefore, some incentive measures, including land use arrangement, were recommended to improve the business viability

    但財務分析顯示,區域供冷系統建造,屬於一項涉及龐大資金、具風險的生意。因此建議提供一些鼓勵性措施,如土地使用等安排,以提高它的商業可行性。
  19. Risk premium : the additional return an investor expects from holding a risky asset rather than a riskless one ? in essence the difference between the total expected return on an investment and the appropriate estimated risk - free return

    風險溢價:指投資者持有風險資產時與無風險資產相比所期望多獲的收益?實質上即投資的預期總收益與相應的預計無風險收益之差。
  20. At first, if the fluctuation of venture capital value accords with wiener processes, how to achieve appraisal with black - scholes is discussed. secondly, if it doesn " t, real options could be copied by the combination of twin - security and risk - free bond

    首先,討論創業企業價值波動符合維納過程的情況下,如何利用black - scholes微分方程來實現對其進行估價;其次,若創業企業價值波動不符合維納過程,就通過符合維納過程的孿生證券股票和無風險債券的組合來復制實物期權。
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