The risk investment fund is the ideal approach to the risk investment.
风险投资基金是我国风险投资的理想方式。
The author has also bravely offered his ideas on the industrialization mode, strategy plan, business mechanism, and risk investment fund with CAEP characteristics.
本文关于构建有中物院特色的产业化模式、战略规划、经营机制、风险投资基金等设想,大胆提出了自己的见解。
According to financial content, financial risk mainly includes financing, investment, fund retrieving and exchange rate.
财务风险从财务内容来看,主要包括筹资风险、投资风险、资金回收风险和外汇风险。
Financial risks are divided into fund-raising risk, investment risk, the risk of the returns on investment, income distribution risk and exchange risk.
财务风险划分为筹资风险、投资风险、资金回收风险、收益分配风险和外汇风险。
Low stock investment position is that the fund can be used to circumvent the key market risk.
低股票投资的立场是,该基金可用于规避市场风险的关键。
TTI Company obtain course of risk investment, prove prestige, fund strength, operation procedure, group essential management of industry.
TTI公司获得风险投资的过程,说明业界的信誉、资金实力、运作程序、管理团队都至关重要。
Investors really need some way to measure the risk of fund to assist their investment decision-making.
投资者迫切需要一些基金风险度量方法为他们的投资决策提供参考。
They study respectively the management risk control and the other risks control in the process of China's occupational pension fund investment.
另外,还提出了在企业年金各管理机构构建有效的风险内控体系的组织框架以控制管理风险。
Realty investment is a fund intensive industry. It has the character of large funds, long period, high risk.
房地产业是资金密集型的行业,资金需求量大、周期长、风险高。
Then, it studies the characteristic of price volatility and risk in closed-end securities investment fund market by use of ARCH models.
然后,利用自回归条件异方差模型系统研究了我国封闭式基金市场的价格波动特性,分析了基金市场的风险特征。
It is a fund crowded industry which has the characteristic of high investment, high risk and high repayment.
它是一个资金密集型的产业,具有高投入、高风险、高回报的特性。
In this paper, we extend the previous research field, and examine the effect of overconfidence of investment fund manager on the returns and risk of investment fund.
本文扩展了以前的研究范围,考察了基金经理过度自信对基金收益与风险的影响。
From behavioral finance point, the trading model of investment fund manager under the condition of overconfidence is advanced, and the variety of the returns and risk of investment fund is discussed.
从行为金融学角度,建立基金经理过度自信时的交易模型,分析基金收益和风险的动态变化。
From behavioral finance point, the trading model of investment fund manager under the condition of overconfidence is advanced, and the variety of the returns and risk of investment fund is discussed.
从行为金融学角度,建立基金经理过度自信时的交易模型,分析基金收益和风险的动态变化。
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