expected return中文,expected return的意思,expected return翻译及用法

2025-11-23 21:08 浏览次数 11

expected return

预期回报

expected return 片语

片语

Expected Normal Return正常收益

Expected rate of return预期报酬率

expected excess return-to-standard deviation ratio单位风险预期超额收益

Area expected to return回料区

expected economic return经济收益预期

expected rate return期望报酬率

Expected Market Return市场期望回报率

expected stock return预期股票收益

rate of expected minimum return最低期望盈利率

anticipated return预期回报

expected return 例句

英汉例句

  • lists all employees on leave and their expected return dates.

    列出所有休假员工及其预期的返回日期。

  • when the expected return is negative, gdcppi performance is still negative related to the fluctuation rate when gdtipp is on the opposite, and gdtipp is the better one.

    当期望收益率为正时,gdcppi策略和gdtipp策略的投资绩效与市场波动率之间呈现负相关的关系,其中表现更好的是gdcppi策略。

  • the optimal portfolios plotted along the curve have the highest expected return possible for the given amount of risk.

    图示中顺着曲线的最理想的投资组合对指定风险数具有最高预期回报可能。

  • suddenly, the expected return to holding currency would become negative 10 percent.

    这一下子,持有现金的预期收益率就成-10%了。

  • this paper proposes an expected return model for linear bilevel problems with uncertain reaction from follower.

    对此类问题 ,本文通过引入领导者对追随者合作程度的期望系数 ,提出期望收益模型 。

  • according to the historical date of securities「 return, this paper proposes four ways to measure the expected return of securities with the correlative knowledge of statistics and cybernetics.

    针对证券历史收益率的变动情况,利用统计学和控制论的相关知识上提出了四个实用的模型来度量证券的预期收益率。

  • do you set the expected return is over the actual return?

    你的预期回报会否高于真实回报?。

  • this paper builds on and extends existing literature on execution cost and expected return in quote - driven stock markets where market makers play a leading role in determining bid - ask spreads.

    证券交易的执行成本是信息不对称和市场供需不均衡时投资者买卖证券的风险补偿,是资产定价和市场微观结构的重要研究课题。

  • one must therefore take into account both the expected return type and the data model when deciding how to cast the object that this method returns.

    因此在决定如何对该方法的返回值进行强制类型转换时,必须同时考虑预期的返回类型和所用的数据模型。

  • that」s what this whole theory is about, how to get a lot of expected return without getting a lot of risk.

    整个金融理论的中心,就是如何获得高收益,同时降低风险。

  • taxes reduce the expected return on a risky asset but also lessen its riskiness.

    税收减少了风险资产的预算收益,但也降低了它的风险。

  • select whether or not to clear the expected return date on the job record.

    选择是否清除职务记录中的预期返回日期。

  • so the expected return of entrepreneurs will greatly influence their entrepreneurial decision.

    预期回报对决策具有决定性的影响。

  • the portfolio investment decision with expected return rate is studied under nonnegative constraint.

    文章首先分析了组合证券投资的收益率和风险。

  • that「s got the lowest possible standard deviation of expected return and that」s 25% stocks and 75% bonds with this sample period.

    这个组合预期回报的标準差最小,在这一点上,投资组合,由25%的股票和75%的债券构成。

  • suppose that we start with two portfolios. portfolio 1 has an expected return of 5 units and a safety of 5 units.

    假设我们从两种投资组合出发(p1与p2),p1对预期收益与安全性的值都是5单位。

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