相对收益

  • 网络Relative return;Relative Gain
相对收益相对收益
  1. 运用标度阶乘矩的方法,我们分析了相对收益的关联系数的分布,发现了其中的湍流现象。

    Using scaled factorial moment we investigate the distribution of correlation coefficients of the relative return and observe intermittence phenomenon .

  2. 经济周期的变迁决定了股票、债券和现金等资产相对收益率的变化。

    The unfolding of business cycles determines the changes in the relative return of stocks , bond and cash asset .

  3. 其次,对待WTO法律体制,中国应务实地处理绝对收益与相对收益之间的关系;

    As for the statutory framework of WTO , China should appropriately handle the relation between " absolute gains " and " relative gains ";

  4. 而BOT,TOT,PPP等多种融资模式,从企业的角度可以承接更多项目,有更大的利润空间,能够找到相对收益高风险小的项目。

    BOT , TOT , PPP financing models , from the perspective of the enterprise can undertake more projects , have greater profit margins , be able to find relatively high-yield low-risk projects .

  5. 纯益与股东权益百分比相对收益和绝对收益

    Percent of net income to stockholders relative and absolute returns

  6. 相对收益和绝对收益相反的,扶轮再度透过合作而获益。

    Relative and absolute returns Again , Rotary has won with cooperation .

  7. 企业价值评估中相对收益能力确定及仿真计算

    Relative Revenue Capacity and Simulation Calculation for Enterprise Valuation

  8. 制度变迁视角下解决相对收益和绝对收益问题的尝试

    An Attempt to Compromise Relative and Absolute Gains from the Perspective of Institutional Change

  9. 在一宗全股票交易中,相对收益预期应会影响合并比例。

    In an all-share deal , expectations for relative earnings should influence the merger ratio .

  10. 相对收益和绝对收益

    Relative and absolute returns

  11. 国际合作的相对收益问题&对西方主流国际关系相关理论的评析与修正

    An Analysis of Relative Gains in International Cooperation & The Evaluation and Revision of Western Mainstream International Relations Theories

  12. 为了分析相对收益问题,我们已经开发一套跟踪分析方案,它可以作用于这两个例子。

    We have developed a tracing analytical scheme for analyzing relative gains concerns , which worked on both of the cases .

  13. 利用随机矩阵理论我们发现相对收益的关联矩阵的特征值分布也具有幂律的特征。

    By using random matrix theory we find that the distribution of eigenvalues of correlation matrix of relative return also follows a power-law .

  14. 如今,随着经济前景已经企稳,相对收益率和息差对外汇市场的影响应该会得到恢复。

    Now , as the economic outlook has stabilised , the relative yield and interest rate differentials should regain their impact on currency markets .

  15. 本文认为,经济波动和金融危机均可视为源于资产相对收益率和风险变化所引发的公众大规模资产替代的结果。

    In the paper , economic fluctuation and financial crisis are regarded as the result of public portfolio adjustment caused by asset relative yield and risk changes .

  16. 相对收益模式的重要追踪分析成果就是相对收益模式在中国和俄罗斯都没有发挥决定性的作用。

    Important outcome of the relative gains model application is that relative gains did not play decisive role in the behavior of neither Russia , nor China .

  17. 在货币市场和资本市场之间比较的标准是相对收益率,从股票市场的角度分析就是股票市场收益率相对利率的变化情况。

    The standard for comparison in money market and capital market is the relative rate of stock returns relative interest rate , from the perspective of the stock market .

  18. 农村信贷主要面临以下风险:第一,农业生产周期性强,面临的自然风险和市场风险较高,农业投资相对收益率低。

    The rural credit has the following risks . First , agricultural production is cyclically , facing higher natural and market risks , investment in agriculture is relatively low yield .

  19. 由于淮河经济群体间竞争合作模式的自发演化依赖于合作和不合作的相对收益,这个收益又与政府监管制度有关。

    As the game model of spontaneous evolution of economic groups of the Huaihe River depends on the relative pay-off of the cooperation , non-cooperation , and the pay-off related government regulatory system .

  20. 美国在防务环境安全的政策和实践方面领先于其他国家,但在国际机制的某些方面过于关注自身的相对收益,阻碍了国际环境合作。

    Although the United States leads other nations in the policy and practice of defense environmental security , the pursuance of its own interests excessively in international relations may disrupt the cooperation in environmental issues .

  21. 今天,全球治理的发展正面临着巨大的困难:不仅包括已有着充分讨论的白搭车、相对收益等问题,还包括卢梭所论说的猎鹿困境。

    Nowadays , global governance is facing great challenges , not only including the problems that have been fully discussed such as free ride or relative gains , but also the " stag hunt " fable that Rousseau has probed into .

  22. 定性和定量分析均证明,除东北地区外,影响水稻生产发展的经济因素中,人均GDP和替代作物与水稻相对净收益的比率对各地水稻播种面积产生消极的影响。

    Qualitative and quantitative analysis prove , except the Northeast region , among the economic factors , the per capita GDP and the ratio of the relative net income between alternative crops and rice impact rice acreage negatively .

  23. 相对成本收益决定及其模型&技术与制度关系的第三种解释

    Relative Cost Profit Determinism and Its Model & A Third Explanation of Relationship between Technology and System

  24. 要避免风险之投资者,则愿意接受政府债券目前提供之相对低收益。

    Investors concerned with avoiding risk will be prepared to accept the relatively low yields now available on government bonds .

  25. 预期后悔模型指出考虑决策者预期后悔的模型最优解相对期望收益最大化最优解更接近需求均值,因此为订货量向需求均值现象提供了理论解释。

    The optimal solution of the anticipated regret is closer to the mean of demand distribution than the expected revenue model , so provide theoretical explanation for newsvendor decision bias .

  26. 利率变化,通过改变股票市场上的相对投资收益率,造成投资者改变其资产配置,进一步改变股票市场上资产供求关系,影响股市市场的收益率。

    By changing the relative rate of return in the stock market , changes of interest rates will cause investors to change their asset allocation , and affecting the stock market rate of return .

  27. 而股票投资是相对高收益的投资,是社保基金实现保值增值的一个有效途径,但高收益往往与高风险并存。

    Stock investment is a kind of relatively high yield investment and an effective way to realize the inflation-proofing and appreciation of social security fund . However , high yield usually coexists with high risks .

  28. 通过上面的分析,我们知道利率会通过股票定价方程的折现因子和股票的相对投资收益率,对股票价格产生影响。

    On the basis of the above analysis , we know that interest rates will affect the stock prices by the discounted factor in the equation of asset pricing and the relative rates of return .

  29. 在影响噪声交易者预期收益情况的四种效应中,多多益善效应和空间创造效应有益于增加噪声交易者的相对预期收益,反之价格压力效应和买高卖低效应则会减少噪声交易者的预期收益。

    The more the better effect and the space to create beneficial effects will increase the noise trader expected return , whereas the price pressure effect and the buy low and sell high effect will reduce the expected benefits of noise traders .

  30. 所谓的相对价值固定收益套利(relativevaluefixed-incomearbitrage)指的是,找出相关债券的定价异常现象,然后押注于这种异常现象将随着时间的推移而消失。

    So-called relative value fixed-income arbitrage involves identifying pricing anomalies in matched bonds and betting that over time they will disappear .