market rate of return 中文意思是什麼

market rate of return 解釋
市場風險收益率
  • market : n 1 (尤指牲畜和食品的)集市;市場;菜市,菜場。2 需要,銷路;推銷地區。3 市價;行情,市面,市況...
  • rate : n 1 比率,率;速度,進度;程度;(鐘的快慢)差率。2 價格;行市,行情;估價,評價;費,費用,運費...
  • of : OF =Old French 古法語。
  • 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...
  1. Its approval as non - usurious the payment of a rate of return determined by market conditions, much as we do today

    就如我們今天一樣,它把由市場狀況來決定回收率這一個還債方法,核定為不屬于放高利貸。
  2. Then through the ecnomical analysis of the performance for rent - seeking of the stock issuing market and the choices of each principle of securities market related to information unsynu estoy, the essay demonstrates the cardinal reason the oringinally issued securities have comparatively high rate of return and concludes that it lies in the system and funtion of china ' s securities market

    通過對股票發行市場的尋租表現、我國證券市場效率和信息披露現狀、市場供求關系與投機行為以及信息不對稱與證券市場各主體行為選擇的經濟學分析,闡明我國證券市場首次公開發行股票具有較高的初始收益率的根本原因在於中國證券市場的制度缺陷和功能缺陷。
  3. Under legal constraints or unavailable to find a customized contract in the capital market, we suggest a method of synthetic basket put to insure the investment portfolio which is claimed to match the minimum required rate of return by the investors

    在法令限制,或者是在資本市場上無法找到符合投資組合需求之契約的情形下,我們提供了一個利用復制組合型賣權來保障投資組合的方法,同時此投資組合亦能滿足投資人最低報酬率的要求。
  4. The current urban pension scheme in china has high implicate rate of return. therefore the partial - funded program is still a good solution for our old age insurance selection. at least in a short period, we ' d better strive for the more feasible condition and environment, such as development of the capital market, depressing the substitution level of the pension along with pension reform

    俄向均衡測算的基礎上,對上海的城鎮養老保險制度改革做出了如下的判斷:養老保險制度的變遷具有較強的路徑依賴性,現階段,統帳結合的養老保險制度具有相當高的內生口報率,總體上仍然是一個相當有效的制度,而且。
  5. Third, the author analyzes the method on rate of return, method on risk - adjusted rate of return, multifactor models, market timing model, and point out applicable range and defect on methods of above all

    再次,分析歸納了基金評價的收益率法、風險調整收益率法、多因素評價模型、基金的擇時選股模型,並明確了各種方法的適用性及缺陷。
  6. In a context of modern capital market, the first issue that must be solved in a firm ' s equity financing is to determine the systematic risk of equity capital compared with the entire market, and further to obtain the reasonable level of rate of return to equity investors

    摘要在現代資本市場條件下,企業股權融資要解決的一個首要問題是確定企業股權資本相對于整個市場的風險水平,進而確定企業應該向股權投資者提供的回報水平。
  7. Last, student - t distribution and ged can better describe the distribution of return rate in china ' s stock market. in a word, all the conclusion above indicates that the method in this paper is valid and credible

    最後,利用學生氏- t分佈,廣義誤差分佈來模擬中國證券市場的指數收益率的分佈提高了var的計算精度。
  8. Using the expect theory, this paper intents to study how the expected return rate of stock market affects the investment behaviors and how the investment behaviors affect on the development of stock market. the paper also raises some suggestion on the construction of stock market

    本文試圖利用預期理論分析預期收益率不確定對投資者投資行為的影響,以及投資者行為的選擇對股票市場發展的影響,從而提出我國股票市場建設的一些建議。
  9. The internal and external elements are chosen according to announced information such as the booklets of directions to reuse capital by floating shares. by the delicate mathematic means, an analysis of the main constructure of new - stock - issue prices and the eighteen factors, new - stock - initial - return and the twenty - five factors, an analysis of the single factor and the testing of the verhemence, an analysis of various factors by frequent regression are performed in order to donate notable testing models and reveal the relations of new - stock - issue - price and company scope, profit power, the rate of new - stock - initial - return, that of on - market - change - hand rate and that of winning

    藉助嚴密的數學方法,通過對新股發行價與18個因素、新股初始收益率與25個因素的主成分分析、單因素分析、相關性檢驗和採用逐步回歸法進行的多因素分析,擬合出顯著的檢驗模型,揭示了新股發行價與公司規模、盈利能力等諸多因素以及新股初始收益率與上市首日換手率、中簽率等諸多因素之間的關系。
  10. Due to the difference adaption of the estimation indexes such as the fiducial rate of market return and the rate of return without risk in many empirical researches, the results is quite different

    但是在許多實證研究中,由於選擇的業績評價指標、市場基準收益率以及無風險收益率等參數的不統一,這使得各學者對于同一時期基金業績表現的研究結果不一。
  11. For the very importance of the selection of the evaluation indexes, the writer adequately improves the correspending indexes such as the rate of return of the funds, the fiducial rate of market return, the rate of return without risk and the systematical risk index according to the the actual situation in the security market in china. on the strength of which, the synthetical appraisal method combining the simple factor method and the factorization method is adopted to give a further assessment for the achievement of the funds in china

    有鑒於此,針對我國證券市場和利率市場的實際情況,作者在本文中對證券投資收益率、市場基準收益率、無風險收益率及系統風險值等指標進行了充分的改進,並採用單因素評價法與因子分析法相結合的綜合評價法對我國基金的業績進行評估分析,研究結果表明:我國大部分的基金能戰勝市場,這說明我國的投資基金具有較好的業績表現。
  12. On the other hand, the ipos can averagely get a positive abnormal return over market portfolio between september and december, which means ipos can obtain better return in every last - half year relatively. 5 ) higher exchanging rate of the first circulating day for an ipo can not obtain a higher medium and long return, and it even has a negative relationship with the later

    就股票價格的影響因素而言,發行后每股收益、發行后每股凈資產特別是bm比率、流通股數尤其是流通市值、總股本或流通盤占總股本比例、行業屬性等在較長的時間內對新股的二級市場收益有明顯的影響。
  13. Clearly you should use the currently expected rate of return on the market portfolio ; that is the return investors would forgo by investing in the proposed project

    很明顯你應該用市場組合的當前期望回報率;那就是投資者因投資建議的項目而將放棄的回報。
  14. This paper precedes analysis by examples on investment income in shanghai and shenzhen stock market from 1994 to 2005 by investment strategies with financial ratios as decision basis, inspecting average rate of return of various investment strategies, standard deviation for investment income, sharpe ratio of reward to risk, and analysis on these results. financial ratios in research include : price - to - book ratio, price - to - earnings ratio, price - to - sales ratio

    本文主要對以相對估價法為決策依據的投資策略在滬深兩地a股市場1994年至2005年的投資收益進行實證分析,考察各種投資策略在這11年間的總收益、年度復合收益率、收益標準差、收益的夏普風險指數,並對結果進行了分析。
  15. Through an empirical analysis of the relation between high - low p / e ratio portfolio and indexed rate of return, this paper verifies, from one angle, that the chinese stock market does not comply with the semi - strong efficient market hypothesis ; it then presents a regression analysis of the relation between equity structure and p / e ratio, proving that p / e ratio is inversely related to total assets

    摘要通過對高低市盈率組合與指數收益率的關系的實證分析,從一個角度證明了我國股市不符合半強勢有效假設;並採用回歸分析法對股權結構與市盈率的關系進行了分析,證明了市盈率與總資產呈負相關關系。
  16. For projects carried out by private individuals or companies, the correct rate to use for discounting is the market rate of return

    對于由個體或私人企業實施的項目,正確的貼現率為市場利率。
  17. First, points out the two basis indexes : the rate of return, p. second, defines the connotation on appraisal of performance of securities investment fund, the performance appraisal is to appraise the fund managers, in the course of evaluating must get rid of the influence factors, these factors mainly include : the common market rate of return, the market risk of securities, the manager luck, thus the performance of funds is true

    首先,指出投資基金業績的兩個基本測定指標:收益率、衡量風險的標準差和p 。其次,界定了投資基金業績評價的內涵,明確了基金業績評價是對基金管理人的評價,在評價時要把影響因素剔除,才能反映出基金的真實業績,這些影響因素主要包括:市場一般收益水平、證券市場的風險、基金管理人的運氣。
  18. The article calculate the sale income, gross cost, income, cash flow, internal rate of return, net present value, payback period in etc. then i contrast analysis result of calculating with one of feasibility study and national standard, i have got a conclusion to analysis though ca7200e3 transformation - shell project from 2000 to 2005 management result can not achieve than assume, but this project management result is better than national standard. in conclusion the project is successful. 38 - 40 as proceeding the assessment, the article also gives many suggestion on the future of the project. i have a lot analysis from several aspect, they includes project background analysis, market analysis, project condition analysis, finance analysis, etc. these analysis prove that the project is feasibility

    論文比較分析ca7200e3變速器整體前殼項目可研預期與項目實際運行的符合度,找出項目實際運行與可研預測之間偏差產生的原因;論文首先對項目立項決策科學性、產品技術方案可靠性、原材料供應經濟性、組織機構和人力資源配置合理性進行了綜合評價;然後對項目建設中費用、進度、質量、合同、信息管理工作存在問題進行了系統分析評價;接下來對項目運行狀況從產量、效益多方面進行分析,找出項目運行中存在的主要問題,並分析了問題產生的主要原因;最後在項目產品未來發展需求預測基礎上結合項目立項后評價、建設后評價、特別是運營狀況后評價所發現的問題,對如何提高該項目管理水平給出了相關建議。
  19. Although china has the largest production of special steel in the world. however, special steel of our nation has much lower competitive than that of developed country. and be obviously expressed by the two indexes including market occupancy and the rate of return

    盡管我國已經是特鋼產量最高的國家,但我國特鋼產品的國際競爭力水平卻很低,進而導致我國特鋼產品在國內市場上面臨的外部競爭壓力越來越大,產品出口也困難重重。
  20. Main research in this text results are : ( l ) from the micro financial risk ' s view, according to the motion of the instant rate of return in government debt bond market, through the principle composition analysis method, it may exist the variations for our country the government debt bond market to cause the misharped factor of risk

    本文主要研究結果是: ( 1 )從微觀金融風險角度出發,根據國債市場即時收益率的波動,本文通過主成分分析法,分析診斷出了我國國債市場中可能存在引起風險變故的變異因素,實證得出國債市場的四因子變異風險因素。
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