equity yield 中文意思是什麼

equity yield 解釋
凈值殖利
  • equity : n 1 公平,公正。2 【法律】衡平法〈指補充成文法或普通法的公平原則,必要時以糾正用法不公〉;衡平法...
  • yield : vt 1 生出,產生(作物、報酬、利益等)。2 給與,讓與;讓渡;放棄(權利、地位等);交出。3 承認。4 ...
  1. Leveraged loans, which are mainly used to fund private equity - backed takeovers, and high - yield, or junk - rated, bonds accounted for 34 per cent of the total, up 8 percentage points from the same period last year

    高利息貸款(主要用於為私人股本支持的收購交易融資)和高收益率債券(也稱垃圾債券)佔全部融資額的34 % ,較去年同期上升8個百分點。
  2. High yield market marginally weaker following weakness in equity and emerging markets

    高收益市場跟隨股市及新興市場的跌勢而輕微下跌。
  3. In one instance, in may 2001, the liaison between the research and investment banking divisions was advised that a poultry company, pilgrim s pride, was seeking equity research coverage in connection with a prospective high - yield offering. the liaison made clear that morgan stanley should not commit to providing coverage until it received a certain amount of investment banking fees from the company : be careful with this one

    經專家組審理和上訴機構復審,最終認定美國的「海蝦海法」及其貿易措施的實施違反gatt第20條序言的原則要求,即「在遵守關於此類措施的實施不在情形相同的國家之間構成任意或不合理歧視的手段或構成對國際貿易的變相限制的要求前提下」 ,構成了「專橫的不可論證為正當的歧視」 。
  4. Due to the yield change of national debt market is relatively stable, we find that the yield of stock market directly decides the level of equity risk premium. 4 ) this model is like a technique analysis, the investor can master the pulse easily by applying this model

    3 )由於國債市場的收益率的變化相對來講比較平穩,中國股票市場股權風險溢價的變化主要是由於股票收益率的變化引起的,可以說股票市場的收益率情況直接決定了股權風險溢價的水平。
  5. In addition, super - short term strategies also earn significantly positive returns. nevertheless the contrarian strategies under long formation horizons and holding horizons ( beyond 36 weeks ) may yield significantly positive returns. we also find, considering markert factor ( market return, cross - sectional variance of equity returns ) and characteristic of individual stock ( trading volume, firm size, price, price / earnings, be / me ), there exist clearer and more significant patterns of profitability in momentum or contrarian strategies

    具體而言,大體上以中短持有期的慣性策略(持有期4 ? 24周)有較顯著之利潤,超短期形成期的慣性策略在1 ? 12周的獲利性亦很顯著,而較長形成期( 36周以上)與較長持有期搭配的反向策略則可能獲得顯著的正收益。
  6. As the basis for other stock market issues, we use toad yield of china ' s stock market to measure the overall returns in the gradual settlement of equity division

    本文提出用全收益率的標準來衡量中國股市的整體收益率,認為在股權分置及其逐步解決的過程中,研究股市全收益率具有重要的意義,也是討論股市其它問題的理論基礎。
  7. Another influence on the bond market is the willingness of foreign countries to buy untied states government debt, in asia their have been signs that some countries that hold a lot of low - yield debt want greater returns on their investments, china, for example, recently announced it will invest 3 billion dollars in the blackstone group, the private - equity company in new york

    另一個影響債券市場的是外國是否願意購買美國政府債券,在亞洲有跡象表明一些持有部分低盈利債券國家在他們的投資上期望獲得更多回報,比如中國,近期宣布將向紐約私人公司黑石集團投資30億美元。
  8. One set of securities, known as an equity tranche, pays the highest returns but is the first to suffer if the underlying bonds default ; other securities offer a much lower yield but a triple - a credit rating, because a lot of defaults would be needed to trigger losses

    其中一套被稱為「平等分額」可享受最高回報,但同時,如果優先債券欠債,這種債券也將首先遭受損失;其他一些債券,雖為3a級,但收益較低,因為引起損失的是大量的欠債。
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