標準普爾指數 的英文怎麼說

中文拼音 [biāozhǔněrzhǐshǔ]
標準普爾指數 英文
s &
  • : Ⅰ名詞1 [書面語] (樹梢) treetop; the tip of a tree2 (枝節或表面) symptom; outside appearance; ...
  • : Ⅰ名詞1 (標準) standard; guideline; criterion; norm 2 (目標) aim; target Ⅱ動詞1 (依據; 依照)...
  • : Ⅰ形容詞(普遍; 全面) general; universal Ⅱ名詞(姓氏) a surname
  • : [書面語]Ⅰ代詞1 (你) you 2 (如此; 這樣) like that; so 3 (那;這) that Ⅱ[形容詞后綴: 率爾而對 ...
  • : 指構詞成分。
  • : 數副詞(屢次) frequently; repeatedly
  • 標準 : (衡量事物的準則; 榜樣; 規范) standard; criterion; benchmark; pip; rule; ètalon (衡器); merits
  • 普爾 : phul
  • 指數 : 1. [經] (比數) index number; index 2. [數學] exponent
  1. Standard poor ' s depository receipt

    500綜合預托證券
  2. In the future , options should not be exercisable for five years , and not unless company performance exceeds the s p500

    以後,股票期權應該在5年後才允許行使,而且還需要業績超過500種
  3. Ht futures limited ( htf ) provides comprehensive trading services in hang seng index futures and options contracts and other products traded on the futures exchange of hong kong, index futures in major international markets such as the nikkei index, dow jones industrial average index and standard & poor ' s commodity futures index. trading services in international commodity futures exchange markets in chicago, new york and tokyo are also available where required

    亨泰期貨有限公司提價全面的香港恆生期貨、期權合約、香港期交所其它產品及國際主要金融市場的期貨買賣服務,如日經平均、道瓊斯工業平均期貨等,亦同時提供包括美國芝加哥、紐約及日本東京商品交易所等國際商品期貨交易服務。
  4. Major gauges erase most of the day ' s losses, as investors recover from mortgage, credit fears ; dow, nasdaq, s & p 500 stabilize after falling 10 % from 2007 highs

    由於投資者從抵押信貸,信貸危機中緩醒過來,主要股挽回了此前大部分的損失;道瓊斯,納斯達克,500在繼2007年最高點下降10 %后已趨于穩定。
  5. Equity markets suffered as a consequence. on wall street the s & p 500 fell 0. 5 per cent, while european stocks came off early highs

    這一事件的結果是股票市場遭受影響,華500下跌0 . 5 % ,同時歐洲股市也從早盤的高點回落。
  6. Pepsi bottling group inc., a component of the broader standard & poor ' s 500 index, also will post its quarterly results that day

    500成分股百事可樂公司也在同一天公布它的財報。
  7. The s & p 500 jumped 11 points, or about 1 per cent, to 1487. 51 on the news before the fed action, while other brokerage shares were also higher

    在美聯儲的行動前,上述消息推動500上漲11點至1487 . 51點,漲幅約為1 % ,其他經紀類股亦告上揚。
  8. A component of the sp500 and regional banks index

    這家公司是500和地區銀行的成份公司。
  9. For certain contracts settled in cash, the contract size may be stated as a dollar multiplier applicable per point change in the contract price ( s & p500 index )

    對于以現金方式結算的特定合約,能用可適用的金額乘來表示其合約規模,即合約價格(500)中的每個點變動。
  10. Profit growth for companies in the s & 500 will fall to 7 % this year after several years of double - digit expansion, reckons thomson financial

    湯姆森金融公司認為,在幾年的兩位增長之後,500公司的利潤增長率會在今年降低到7 % 。
  11. Better - than - expected results allowed stocks to extend their best april rally in four years, and one that pushed the nasdaq composite index and the standard & poor ' s 500 index to six - year highs

    高於期望值的結果使得股市在今年四月份達到四年來最大反彈,推動了納斯達克綜合500達到六年來的高度。
  12. According to richard bernstein of merrill lynch, most s & p 500 constituents outperformed the index in each of the years from 2000 to 2005

    據美林證券理查德.伯恩斯坦稱,大多標準普爾指數上市公司在2000年至2005年期間各年表現均好於
  13. S p index future

    標準普爾指數期貨合約
  14. So fund managers can look forward to a lot of complaints from clients when they lag behind the s & p

    所以,如果表現弱於標準普爾指數,基金經理就備面臨客戶大量的抱怨吧。
  15. Suppose there is an investment project which you know ? don ' t ask how ? has the same risk as standard and poor ' s composite index

    假設有一個投資項目,你知道?不要問怎麼知道的?它有與標準普爾指數相同的風險。
  16. But there is still a long way to go ; the much broader s & p 500 index [ 2 ] is 12 % below its peak, and the nasdaq composite is less than half its high

    但仍然是其路漫漫;覆蓋面更廣的標準普爾指數低於峰值12 % ,而納斯達克綜合不到原來最高點的一半。
  17. But there is still a long way to go ; the much broader [ i ] s & p 500 index [ / i ] [ 2 ] is 12 % below its peak, and the nasdaq composite is less than half its high

    但仍然是其路漫漫;覆蓋面更廣的標準普爾指數低於峰值12 % ,而納斯達克綜合不到原來最高點的一半。
  18. Testing this system over the period 1996 - 2007 produces returns that beatthe s & p500 index by more than a percentage point a year with similarvolatility

    這套系統測試1996 - 2007年期間,在相似的波動性之下,所產出的回報每年平均超過標準普爾指數1個多百分點。
  19. According to standard & poor ' s lcd, a division of the rating agency, the first three months of 2007 were the busiest ever for the american leveraged - loan market

    據信用評等機構標準普爾指數的「杠桿貸款報告」顯示, 2007年前三個月是美國杠桿貸款市場有史以來最繁忙的三個月。
  20. To assess risk level, check these three factors : the fund ' s biggest quarterly loss, which will help you brace for the worst ; its beta, which measures a fund ' s volatility against the s & p 500 ; and the standard deviation, which shows how much a fund bounces around its average returns

    關于如何判斷風險水平,請參照以下三個要素:基金每季度的最大損失,這能幫助你做好最壞的打算;貝塔系,它能反映基金相對標準普爾指數的波動程度;差,這能夠顯示一個基金圍繞其平均收益上下搖擺的幅度。
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