風險回報 的英文怎麼說

中文拼音 [fēngxiǎnhuíbào]
風險回報 英文
risk-reward
  • : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
  • : Ⅰ名詞1 (險惡不容易通過的地方) a place difficult of access; narrow pass; defile 2 (危險) dange...
  • : 回構詞成分。
  • : Ⅰ動詞1 (告知; 報告) report; declare; announce 2 (回答) reply; respond; reciprocate 3 (答謝)...
  • 風險 : risk; hazard; danger
  1. Risk - adjusted returns are attractive, and can be accessed by investors in a variety of ways

    可調節風險回報非常具有吸引力,投資者可通過各種渠道獲得收益。
  2. Value partners classic fund formerly known as value partners " a " fund ranked number 1 out of 13 greater china equity funds, in terms of annualized total return and risk - return ratio

    惠理價值基金前稱value partners " a " fund -以風險回報比率及平均每年計算,十三隻大中華股票基金中排名第一
  3. 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等於無風險回報率的點畫一條切線。
  4. Emotional or physical risk - taking, where the risk - return ratio is not quantifiable ( e. g., skydiving, campaigning for political office, asking someone for a date, etc

    情感和身體冒的活動,在這些活動中風險回報比例不可定量(如跳傘運動和政治競選,請求某人來約會。 )
  5. The manulife mpf risk return meter

    宏利強積金風險回報指標
  6. A colour coding system in which a spectrum of colour is used to signify the risk - return profiles of our funds

    宏利強積金風險回報指標使用顏色代號系統,利用不同顏色來代表不同的風險回報程度。
  7. The manulife mpf risk return meter represents only the views of manulife asset management hong kong limited in respect of the relevant funds

    宏利強積金風險回報指標只反映宏利資產管理香港有限公司對有關基金之看法。
  8. Manulife mpf risk return meter, a colour coding system in which a spectrum of colour is used to signify the risk - return profiles of our funds

    宏利強積金風險回報指標使用顏色代號系統,利用不同顏色來代表不同的風險回報程度。
  9. The manulife mpf risk return meter is not a financial tool and shall not be relied upon to make any investment decisions and selection of funds

    宏利強積金風險回報指標並不是一種財務工具,亦不應依賴作為投資建議及選取基金的根據。
  10. Investing is essentially a risk - return trade off

    投資主要是一種風險回報權衡。
  11. Investors are advised to regularly review their own risk return profiles

    投資者需定期評估其風險回報取向。
  12. About risk return meter

    關于風險回報指標
  13. Risk return level

    風險回報指標:
  14. Risk - usted return

    已調整風險回報
  15. A line created from the risk - reward graph, comprised of optimal portfolios

    一種線條由風險回報曲線圖創建,包括最理想的投資組合。
  16. Lifestyle portfolios for easy investment five portfolios with distinctive risk return profiles

    五種生活方式基金投資組合,各有獨特風險回報
  17. Furthermore, the trade - off between the risks and rewards of investing in utilities can be skewed

    此外公用事業方面的風險回報比例有些不對稱。
  18. Different colour in the meter represents a general division of risk return profiles

    指標內的不同顏色代號是代表不同風險回報程度的一般歸類。
  19. The colour coding in the risk return meter is based on a number of factors in relation to their underlying investments including types of asset classes and their respective target weightings, breadth and geographical diversification and historical long - term volatility and capitalisation of the relevant markets

    風險回報指標顏色代號的選定乃基於其投資項目的多項因素,包括旗下資產類別及其相應的目標比重覆蓋范圍及地域分佈有關市場過往的長期波幅和市場價值。
  20. A line used in the capital asset pricing model to illustrate the rates of return for efficient portfolios depending on the risk - free rate of return and the level of risk ( standard deviation ) for a particular portfolio

    一個線條用於資本資產定價模式中說明有效的投資組合的率,取決于無風險回報率和對一特定的投資組合的水平(標準偏差、標準離差) 。
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