high return high risk 中文意思是什麼

high return high risk 解釋
高效益高風險
  • high : adj 1 高的〈指物,形容人的身高用 tall〉;高處的;高地的。2 高級的,高等的,高位的,重要的。3 高尚...
  • return : vi 1 回轉,回來,回去,返回,折回 ( to)。2 再來,又來;復發,回復,恢復。3 回頭說正經話,回到本...
  • 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...
  1. However, hong kong stock investors and cash rich companies have strong appetite for high risk, high return shares, as well as the interest to invest in the mainland

    然而,香港的股票投資者和許多資金雄厚的公司,對投資國內以及高風險高回報的項目均感到興趣。
  2. The model of this paper explores the links between the following factors and the credit rationing in china. the change of banks " attitude to credit risk may lead to credit rationing ; banks give much more emphasis on the trade cost and the payable value of collateral, which may give rise to credit rationing ; the decreasing of asset price during economic stagnation produces credit rationing ; the bias of banks " objective function from the maximization of profit and the transformation of the function relating to the reform of the financial system cause credit rationing ; if different parts of the whole markets are not integrated, the credit in the part with low capital return ratio will be rationed. during economic recession, banks tend to ration the credit in the high - risk market ; the removing of interest ceiling will narrow down the interest spread of deposit and credit at least during a period, which may strengthen credit rationing ; meanwhile, the vulnerable borrowers, including small and middle - sized enterprises, will get more credit from banks even though they have to pay a higher interest rate

    論文的模型探討了下列因素和中國信貸配給現象之間的聯系:商業銀行對信貸風險的態度變化,在辨別和控制信貸風險上開始投入大量的成本,這一過程會導致信貸配給;商業銀行對與法治環境相關的交易成本和抵押品清償價值的日漸關注會導致信貸配給;宏觀經濟緊縮時期資產價格下降會導致信貸配給;商業銀行經營目標函數偏離利潤最大化,近幾年金融業改革過程使商業銀行目標函數發生變化,這一變化過程可能導致信貸配給;在市場分化的條件下,收益水平低的市場會遭受信貸配給;在經濟下滑時期,商業銀行尤其會對高風險市場配給信貸;利率市場化使商業銀行的存貸利差至少在一段時間內縮窄,利差縮窄可能加重信貸配給的程度:在利率市場化條件下,弱勢借款者,包括中小企業,遭受信貸配給的程度可能得到緩解,但支付的貸款利率水平將會升高。
  3. Shipping is an industry of high risk with low return

    航運業是一個高風險、低收益的行業。
  4. The paper established a model of organization abstraction and analyzed a case. vi. human resource investment is a high - return and high - risk investment. risks of human resource investment are complicated and should be controlled from beginning in a dynamic way

    人力資源投資是高回報,高風險的投資行為,風險存在於投資過程的始終,並且是復雜多變的,應從源頭控制、動態過程式控制制;通過規范控制、德治調控、情治連結(即rme聯合對策)來降低人力資源投資風險。
  5. Merger and acquisition ( m & a ) is a high - risk and high - return business. many companies hope to transfer the industry crisis, avoid the investment risk, solve the trouble of debts, decrease the cost of labor and expand the company ' s scale by m & a

    企業並購是一項高風險與高利潤並存的商業行為,許多企業希望通過並購達到轉嫁產業危機,規避投資風險,化解企業債務,降低勞動力成本,擴張企業規模之目的。
  6. Conclusions could be drawn out through a positive analysis of some port companies : the factors that have a positive effect on the strategic target are the rate of main business return, the velocity of the assets, while the capital structure and the rate of the increase of the increase of investment have little effect, which illuminate that the port company should focus on the main business to enhance the return of net assets, it also shows that the business of the list port companies is over - concentrated, and should be diversified to lessen the operating risk ; the companies should accelerates the turnover speed of the assets ; the appropriate structure of the assets can bring benefit to a company, but the ultimate approach to enhance the return of the net assets is to look for items with high return ; the sightless investment made the increasing speed of return lag behind the expanding speed of the capital ; and result in no scale economic benefit

    本文通過對部分港口類企業進行計量分析后發現港口企業的資本結構和投資對凈資產收益率沒有顯著的影響,而港口企業收入過分集中。針對未來財務環境發生的變化,本文從戰略財務管理的角度對南京港口集團公司提出以下建議:在投資領域,今後應以綜合物流為契機,專業化與多元化並重;適度發展集團化經營;優化資源配置,提高資產營運效率。在融資領域,要合理選擇融資渠道,降低融資成本,更多關注債務融資;確定合理的資本結構,控制負債風險,建立償債保障機制。
  7. Which illuminate that the shipping company should focus on the main business to enhance the return of net assets, it also shows that the business of the list shipping companies is over concentrated, and should be diversified to lessen the operating risk ; the companies should accelerate the turnover speed of the assets ; the appropriate structure of the assets can bring benefit to a company, but the ultimate approach to enhance the return of the net assets is to look for items with high return ; the sightless investment made the increasing speed of return lag behind the expanding speed of the capital, and result in no scale economic benefit

    本文通過對航運類上市公司進行計量分析后發現航運企業的資本結構和投資對凈資產收益率沒有顯著的影響,而航運企業收入過分集中。針對未來財務環境發生的變化,本文從財務戰略管理的角度提出以下建議:在投資領域,今後應以綜合物流為契機,專業化與多元化並重;適度發展集團化經營;優化資源配置,提高資產營運效率。在融資領域,要合理選擇融資渠道,降低融資成本,更多關注債務融資;確定合理的資本結構,控制負債風險,建立償債保障機制。
  8. According to this article, the following aspects are the important tactics guarantee and the starting - point of policy decision : 1. the demand of r & d cost and the high return of profit are the focus of risk investment

    通過分析,本文認為以下幾個方面是促進風險資本與生物醫藥產業高效融合的重要策略保證和決策出發點: 1 、高研發( r & d )費用的需求和高額利潤的回報是風險投資的切入點。
  9. Port is an industry of high risk with slow return

    港口業是一個高風險、回收慢的行業。
  10. It was found that the abnormal return rate was an increasing function of the turn - over rate of the group. it seemed to be ridiculous, but it was right because the turn - over rate was highly correlated with the fluctuation of turn - over rate beneath which was often the manipulation risk. even no manipulation existed, high fluctuation mean high risk that should be compensated with high return rate

    為了驗證這一猜想,於是引入了換手率、換手率波動、流通股比例和規模因子,然後進行多因素聯合回歸分析,發現流動性風險對超額收益率的貢獻最大,由換手率或者換手率波動性衡量的流動性風險可以解釋超額收益的60 ,而規模因子的作用大大下降,甚至消失。
  11. Venture investment is a kind of investment with high risk, it achieve excellent performance and good return through investment on industries with advanced technologies and it will leave venture project alone through listing, selling and merging after multi - success

    風險投資是一種高風險的權益投資活動,它通過將風險資本投資于高收益企業或項目,通過與項目建設方的合作開發與管理使資本大量增值,並在項目成功后,通過上市、轉讓等方式撤出風險資本的一種投資活動。
  12. Countries and sectors will be allocated risk level ; high - risk applicants will require a bond that will be forfeited if there is any breach of the immigration rules but will be repaid on return to their home country or a grant of settlement

    高風險的申請者將須支付保證金。在違反移民條例的情況下,這筆保證金將被沒收,但在事主返回自己國家或獲得在英合法居留資格之後予以返還。
  13. Education is a high - return as well as a high - risk investment for individuals

    教育對個人來說,既是高回報投資,也是高風險投資。
  14. In chapter 2, we summarize the commonly process of the modeling using garch family models systemically. we establish garch 、 garch - m 、 tarch 、 egarch and garch - t models on return series, then use these models to analysis some volatility characters, such as high apex and thickness tail, permanence of volatility, the relation between return and risk and the asymmetry of volatility etc, lastly, we study the volatility forecast of the garch family models

    第二章中,我們系統總結了garch族模型建模的一般步驟,分別運用garch 、 garch - m 、 tarch 、 egarch和garch - t模型對收益序列進行了建模,對波動性的高峰厚尾特徵、波動的持久性、收益與風險的關系以及波動的非對稱性等特徵進行了分析,最後對garch族模型的波動預測進行了分析。
  15. Offsetting the high risk the investor takes is the promise of high return on the investment

    投資者因承擔了高風險因而可以獲得高額的回報。
  16. China ' s banking industry is transforming from relationship banking to price banking, which will lead banks to give more credit to the borrowers and projects with low risk and high return. as s result, the credit of vulnerable borrowers will be much more rationed. the relationship between banks and customers will be substituted with contract interests, and removing the interest cap can drive banks to compensate risk with higher interest only if the corporate governance of both banks and enterprises stays in a state of scientific check and balance

    論文探討了銀企關系、抵押品與信貸配給的關系,主要結論有:中國銀行業正在經歷從關系銀行業到價格銀行業的轉變,這一轉變將使銀行貸款向風險低、收益高的借款者或項目傾斜,弱勢借款者可能更加遭受信貸配給;只有當銀行和企業的公司治理結構都比較健全時,銀企關系才可能在很大程度上被交易合同中的利率變化所替代,也只有在這種情況下,利率市場化才能使銀行有可能用提高利率來補償貸款風險,從而一定程度降低信貸配給的程度;提高社會誠信環境,明晰產權並完善財產交易制度,有助於緩解信貸配給狀況。
  17. As far as investors are concerned, i am sure they would like to see more choices for investment opportunities between the low risk, low return bank deposits and the high - risk, high - return investments in stocks and shares

    我相信投資者都希望在低風險低回報的銀行存款,與高風險高回報的股票投資之間有更多投資工具可供選擇。
  18. Third, we turn to high return, till now at least half of the risk investment has not made any profit

    把它改成這樣的叫法可能好一些,就是高預期回報。
  19. Its essence is to make the successful project sell or appear on market through investing to projects with high risk and high return for realizing the becoming of proprietor rights, which can not only make up the loss of failure project, but also still make the investor acquire the high return

    其實質是通過投資於一個高風險、高回報的項目群,將其中成功的項目出售或上市,實現所有者權益的變現(蛻資) ,這時不僅能彌補失敗項目的損失,而且還可以使投資者獲得高額回報。
  20. Companies formed to promote national network is a mainstay for the company, points - based business model, modern management level networking operation network, each network members are in the " low - risk, high return, ground work " model of equal opportunity and prosperity

    公司組建的全國性推廣網路,是一個以公司為主體,示範業務點為基礎,層層聯網管理的現代化運行網路,每個網路成員均在"低風險、高回報、勤工作"的模式內享有同等的致富機會。
分享友人