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lowest expected earning rate是什么意思


中文翻译最低期望收益率

网络释义

1)lowest expected earning rate,最低期望收益率2)hurdle rate,最低收益率,最低期望收益率3)Expected Return,期望收益率4)The minimum yield,最低收益率5)maximal expected revenue,最大期望收益6)utilization expected revenue,效用期望收益率

用法例句

    Two methods for determining the basic discount rate,i e the method of lowest expected earning rate and the method of target earning rate,are introduced It is indicated with examples that the former is a lower standard,and the latter comparatively accords with the actual standard but needs more key work to be don

    介绍了两种确定基准贴现率的方法———最低期望收益率和目标收益率法 ,并结合实例进行了说明 :前者是一种偏低的标准 ,后者比较符合实际标准 ,但需要较好的基础工作。

    By use of the control theory,an HJB optimal equation which the maximal expected revenue function satisfied is obtained.

    利用最优控制理论,建立了最大期望收益函数所满足的HJB最优方程,证明了最大期望收益是剩余商品数量的递增凹函数、是销售时间的递减凹函数,最优定价策略随剩余商品数量及销售时间递减;得到了不同销售渠道的最优定价之间所满足的一个关系式。

    Analysis and application of the determinants of expected stock returns;

    股票期望收益率决定因子分析及应用研究

    Empirical research of expected stock return:CAPM & Fama-French models;

    股票期望收益率估计的单因素与三因素模型

    Parallel Movement of Effective Frontier in Expected Portfolio Return;

    证券期望收益率同值变动时有效边界平移分析

    the yield to maturity

    "到期率,收益率"

    Holding Period Return/Yield

    持有期回报/收益率

    Idiosyncratic volatility,turnover and cross-section expected return;

    特质波动率、换手率与预期收益关系

    The Consistency Condition of Decision for Maximum Expected Profit And Minimal Expected Loss;

    最大期望收益与最小期望损失决策一致性条件

    THE EUROPEAN OPTION PRICING OF STOCK WITH CIRCLE EXPECTED RATE OF RETURN;

    收益率周期波动的股票欧式期权定价

    It may be that they expect strong earnings in the future.

    或许是他们期望未来会获得丰厚收益。

    Behavioral Finance:Perceived Risk and Perceived Expected Return;

    行为金融:认知风险与认知期望收益

    Risk Measure Method Expect Return under Heavy-Tail Distribution

    重尾分布下的期望收益风险度量方法

    Martingale is a method that today’s price of derivatives is equal to the discounted expectation of its future price if the future expectation is calculated with respect to the risk-neutral probability measure.

    通过鞅方法,在风险中性概率测度下,衍生证券的现在价格等于未来的期望收益的折现。

    Yield to Adjusted Minimum Maturity

    调整后最早到期日收益率

    The yield on the benchmark 10-year US Treasury ended the month at 5.04%.

    本月末基准10年期国债收益率为5.04%。

    Forecast Stock Market Returns of Shenzhen Based on Risk Anticipation;

    基于风险预期的深市收益率预报研究

    Modification of Simple Formula on Bonds Yield to Maturity;

    债券到期收益率简便计算公式的改进

    Long-term Change in Private Returns to Education in Urban China;

    中国城镇教育收益率的长期变动趋势

    YTM [yield to maturity]

    全期收益,到期收益[