这里,u――期望回报率(expected return rate);――波动率(volatility);dWt――标准布朗运动(E(dWt)=0、Var(dWt)=dt) ②无风险利率r是常数且对所有到期日都相同 ③...
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Expected rate of return 期望报酬率 ; 预期收益率 ; 预期报酬率
expected internal rate of return 期望值内部收益率
expected rate return 期望报酬率
the expected rate of return 预期收益率
fuzzy expected rate of return 模糊收益率
assets expected rate of return 资产预期收益率
Based on CAPM, the authors obtained the expected return rate of entrepreneurs, the beta coefficient and risk premium of enterprises.
基于经典的资本资产定价(CAPM)理论,得到了企业家的期望收益率、企业的贝塔系数和风险溢价。
The world of risk neutral is an imaginary world in which the expected return rate of all risky assets equals to risk-free return rate.
风险中性的世界是一个假想的世界,在风险中性世界中所有风险资产的预期收益率等于无风险收益率。
The contribution rate can be set to reflect this higher expected return.
员工的出资率应该按这种较高的预期回报来设立。
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