... fair return 合理收益 ; 合理利润 ; 公平报酬 ; 合理报酬 relative return 相对回报率 ; 相对回报 expected return 语期收益 ; 预期收益率 ; 预期回报 ; 预期收益 ...
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资本资产定价模型 - 公式 均方差分析和资本资产定价模型夏普发现单个股票或者股票组合的预期回报率(Expected Return)的公式如下: 资本资产定价模型 资本资产定价模型(Risk free rate),是无风险回报率, 资本资产定价模型是证券的Beta系数,...
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expected return on the market 市场期望收益率
Convexity-adjusted expected return 期报酬
expected return of a portfolio 证券组合期望收益
factor-expected return premium 或因素预期回报率溢酬
Market Expected Return Indicator 市场预期回报指数
expected return rate 期望收益率 ; 期望回报率
The expected return 预期收益率
expected return model 预期收益模型
rstional expected return 理性期望收益
Because markets have a variety of uncertain, the precise value of the expected return of securities is undetermined.
由于市场上存在着各种各样的不确定性,对于证券的期望收益率,投资者难以给出一个精确的值。 区间数作为一类特殊的模糊数,是处理该类不确定性问题的有力工具。
参考来源 - 基于模糊区间的Minimax规则下的证券投资组合模型 (研究生论文)·2,447,543篇论文数据,部分数据来源于NoteExpress
r1 Asset 1 has expected return r1.
第一项资产的预期收益率是。
You'd have a higher expected return with no more variance.
你的预期收益率提高了,但风险没有增加。
This is the equation that relates the expected return on an asset.
这个等式是关于某一资产的预期收益。
After completing their studies, Sudanese students are expected to return home with the skills necessary to help deal with the complex causes of conflict in the country.
VOA: special.2009.01.28
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准差最小,在这一点上,投资组合,由25%的股票和75%的债券构成。
If you're comparing two portfolios with the same expected return, then you want the one with the lower variance.
比较两个有相同预期收益率的投资组合时,你会选择方差小的那一个。
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