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- risk assets ratio 风险资产比率
- risk asset ratio 风险资产比率
- Chapter three analyzes the Arbitrage Pricing Theory (APT) of risk assets. 第三章分析了风险资产的套利定价理论,对套利定价理论的模型进行了推导。
- DW: Preservation of asset ratios and so forth? 伟福:保持资产比率等等?
- This paper develops a general pricing model for risk assets under continuous time. 摘要研究了连续时间下风险资产的一般定价模型。
- SPV to be set strict standards for banks to buy mortgage assets to control risk assets. 这些标准大致有:(1)资产购买日贷款本金余额(每笔)的最高与最低限额。
- Also the IPO determinant for non-audit fee are receivables plus inventory to total assets ratio and profitability, while the non-IPO determinant is only the accounting firms. 而新上市公司之非审计公费决定因素为应收款项与存货、获利能力;
- The rise in risk aversion means that investors are less willing to buy high risk assets, and when they do, they are demanding higher compensation. 风险厌恶情绪的加深意味着投资者更不愿意购买高风险资产,即使购买,他们也会要求更高的回报。
- Those repositories of risk assets, emerging markets, are off to the races, with equities and even currencies pushed higher by inflows of foreign money. 作为风险资产的集散地,新兴市场开始活跃,外资的流入推高了股市、甚至货币汇率。
- You can casually let drop that you "had a look at the quick assets ratio of a few companies but although that seemed fine one cannot tell at the moment whether to buy on fundamentals or to be wary of :o the top look of the charts". 你可以随意地说:“看了几家公司的速动资产率,虽然看上去问题不大,但还是不能马上决定是根据公司的基本情况买股票呢,还是要留意曲线图上股价到顶的显示”。
- According to the new regulations, the minimum capital to risk-weighted assets ratio is to be 10 percent higher than the minimum level recommended by the Basle committee on banking supervision. 根据新的规定,资本和高风险贷款的最小比率是10%25,比巴塞尔银行监督委员会建议的标准高出2%25。
- Abstract: The analytic construction of optimal solution for a parameter-programming problem was obtained, and was applied to the combination investment to the risk assets which arise in economics. 文摘:用分析方法得到了一类带参数规划问题最优解的解析结构,并将其应用于解决经济中风险资产的组合投资问题。
- The first part discusses the background, context and the development of the Basle Accord, the part also narrate many useful advices to national commercial bank about risk assets administration, capital structure, the reduction of the risk assets in banks. 第一章说明了《巴塞尔协议》产生的背景、内容及发展过程。 《巴塞尔协议》对我国国有商业银行风险资产管理、资本结构以及调整资产结构降低风险资产的借鉴作用。
- The New Basel Capital Accord brought about great improvements in the definition and measuring method of risk assets on April29,2003.We must devote deep study to them in order to improve the management of our commercial banks. 2003年4月29日巴塞尔新资本协议对风险资产的定义和计量方法做了重大改进,对此要认真研究,努力提高国内商业银行的经营管理水平。
- capital - to - total assets ratio 资本充足率
- Dynamic analysis for risk assets portfolio 有风险资产投资组合动态分析
- A General Pricing Model for Risk Assets 风险资产的一般定价模型
- option on the maximum or minimum of risk assets 极值期权
- I don't want to run the risk of meeting John. 我可不想冒遇见约翰的危险。
- He knew he was running the risk for the people. 他如道,他冒这危险是为了人民。