说明:双击或选中下面任意单词,将显示该词的音标、读音、翻译等;选中中文或多个词,将显示翻译。
您的位置:首页 -> 句库 -> 风险调整后的资本收益率
1.
Application of risk adjusted return of capital in credit risk management;
风险调整后的资本收益率在信用风险管理中的应用
2.
Optimal portfolio selection based on maximizing risk-adjusted return on capital;
基于风险调整后资本收益率的最优资产投资组合模型
3.
Risk Adjusted Return on Capital (RAROC)
风险调整资本回报率
4.
Measurement and Positive Study of Funds Risk-Adjusted Return;
我国基金风险调整后收益的测量和实证研究
5.
Industry Earnings Risk,Capital Structure Optimization and Capital Collocation Efficiency;
行业收益风险、资本结构优化与资本配置效率
6.
Application of internal rate of return to corporation risk investment decision;
内部收益率在企业风险投资中的应用
7.
Research on venture capital firm s risk premium of due diligence;
风险投资公司尽职调查的风险收益研究
8.
Rate of return(or return)on capital
资本收益率(或资本收益)
9.
The author inquiers into preliminarily profits and risks of portfolio investment and makes use of variance and expectation to describe the rate of negotiable securities investment.
本文初步探讨有关组合证券的收益与风险 ,利用均值和方差来描述证券投资收益率。
10.
The Performance Evaluation Concerning the Open-end Funds Based on the Risk-adjusted Returns;
基于风险调整收益法的开放式基金业绩评价
11.
On Risk-adjusted Performance Assessment of Open-end Funds;
基于风险调整收益的开放式基金业绩评价
12.
Cost earnings,risk avoidance and human capital investment;
成本收益、风险规避与人力资本投资
13.
The Portfolio Decision Model Based on Minimizing Risk to Return Ratio
单位收益率风险最小的组合证券投资决策模型
14.
In this paper the return and risk of portfolio are analyzed.
文章首先分析了组合证券投资的收益率和风险。
15.
REVENUE-RISK ANALYSIS OF SOCIAL SECURITY FUNDS INVESTING IN CAPITAL MARKET;
社保基金投资资本市场的收益—风险研究
16.
On Enterprise Credit Risk Management: Based on RAROC
基于风险调整收益方法的企业信用风险管理研究
17.
Study on the Return and Risk of Long-Term Holding Risk Assets Based on the Monte Carlo Analysis
长期持有风险资产的收益率和风险的蒙特卡洛分析
18.
The Study on Real Estate Investment Risk Evaluation Methods Involving Risky Return Rate;
考虑风险收益率的房地产投资风险评价方法研究