equilibrium return

英 [ˌiːkwɪˈlɪbriəm rɪˈtɜːn] 美 [ˌiːkwɪˈlɪbriəm rɪˈtɜːrn]

均衡报酬

经济



双语例句

  1. In each case, the equilibrium changed to something new, and in each case, the forecasters wrongly predicted a return to business as usual, again and again.
    在每一个例子中,这种均衡点都变成新的,而在所有例子中,预测家们一次又一次错误地预测一切将回复正常。
  2. In order to break the low-level equilibrium, we should reduce and disperse the risk of agricultural production to enhance prospective return of agriculture.
    为了打破这种低水平的均衡,整体思路是降低和分散农业生产的风险、提高农业的预期收益。
  3. On the basis of partial equilibrium, an asset portfolio model is provided to analyze the impact of interest rate, inflation, the volatility of stock market return and consumer's risk preference on the demand for savings deposit.
    本文以消费者最优资产选择模型为基础,采用局部均衡分析方法探讨了通货膨胀、股市收益波动、消费者风险偏好对储蓄存款需求的影响。
  4. The paper analyses how the overconfident investors can produce impacts on the equilibrium asset price and the expect return they asked for in a multi-period trade setting.
    本文研究了过度自信的投资者在一个多阶段金融市场中是如何影响均衡价格和投资者要求的期望收益的。
  5. Multifactor model assumes that the return on investment will be influenced by various risk factors, when under this model's assumption, the return and risk reach equilibrium, the Investment return of the risk asset is described by Arbitrage Pricing Theory ( APT).
    该模型假设投资收益率受到多种风险因素的影响,收益率由各风险因素溢酬的线性组合决定。当多因素模型框架下收益与风险达到均衡时,风险资产价格遵守套利定价理论。
  6. It is the competition equilibrium supposition that is used in the case analysis of this dissertation. It supposes that the ratio of increase is invariance and the return ratio is equal to the capital cost.
    本文案例中使用的是竞争均衡假设,该假设是在恒定增长率假设的基础上,再假定连续价值期间新增投资的收益率等于股权资本成本得来的。
  7. By selecting the risk parameters, commercial banks can get the optimum solution under the equilibrium of risk and return and can obtain the maximum return when risk is fixed.
    银行通过选择风险损失参数α,应用该模型即可确定出在风险/收益均衡状态下,不同风险信贷项目的最优组合投放权重,获得既定风险下的最大收益。
  8. The model gives equilibrium return and the optimal investment level under symmetric information and asymmetric information, and identifies the condition under which staged financing is feasible.
    分对称信息和非对称信息两种情形,推导出风险企业家和风险投资家的均衡收益及最优投资水平,给出了分段投资发生作用的条件。
  9. The micro-credit suppliers can be both micro-credit institutions such as small loan companies and normal banks. The two class providers make lending decision basis of equilibrium of risk compensation and risk return, not having essential difference.
    小额信贷提供者可以是小额贷款公司等小额信贷机构,也可以是正规银行机构,此两类提供者在贷款决策时所依据的都是风险成本与风险收益的均衡,决策依据没有本质的区别。
  10. The paper use evolutionary stable strategy to set up the equilibrium of repeated signaling game. Secondly, the paper developed dynamic pricing model on merger and acquisition return through evolutionary learning theory.
    其次,利用进化学习理论建立了企业并购收益的动态定价模型。
  11. Generally speaking, the real estate price will fluctuate up and down surrounding balanced price. But in practice, it will appear that when real estate price deviates away from equilibrium price, and it return back to equilibrium price in a long term.
    一般来说,房地产价格会围绕均衡价格上下波动,但是现实中往往出现房地产价格偏离均衡价格,在较长时间内不能回归均衡价格。
  12. Convergence of primary agricultural economic was discussed in this agricultural economic growth model. Primary agricultural economic will be convergence on equilibrium point because of the laws of diminishing marginal return and diminishing marginal utility.
    在农业经济增长理论模型下,首先讨论了简单农业经济的收敛性问题,论证了在边际收益递减规律与边际效用递减规律作用下,简单农业经济最终会收敛于均衡点。
  13. From an equilibrium perspective, insurance mechanism can make SMEs 'marginal cost of credit consistent with the large-scale enterprises, so the banks' credit support could return to the marginal productivity of the enterprise.
    从均衡的角度分析,从内部动力来看,保险机制的介入可以使中小企业和大型企业的边际信誉成本一致,使银行的信贷支持向企业边际生产力回归。
  14. It reviews research literature for market equilibrium mechanism, loan market equilibrium mechanism, and risk and return equilibrium mechanism, and micro-credit risk and return equilibrium mechanism.
    对有关市场均衡机制、信贷市场均衡机制、风险与收益均衡机制以及小额信贷风险与收益均衡机制的研究文献进行了回顾。
  15. The fluorescence intensity of the materials enhanced with the increasing amount of the drug adsorbed on the materials. When the drug release reached equilibrium, the fluorescence intensity can almost return to the initial value, showing great potential for biomedical application.
    材料对药物分子布洛芬具有较强的吸附能力,并且其荧光强度随着固载药物量的增加而增强,当药物释放达到平衡时,荧光强度又基本恢复到初始值。
  16. In this case, the implied equilibrium expected return vector equals to 0, which makes the model more intuitive. Finally, we also focus on weights constraints on model.
    并且在此情况下模型的隐含均衡期望收益率皆为0,这使得模型的结果更为直观。最后我们还着重分析了资产的权重约束对资产组合模型的影响。
  17. Maybe in the short term, The long-run equilibrium relationship may appear imbalances and fluctuate, but in the long term, it return to long-run equilibrium. 2.
    这种长期均衡关系虽然在短期内可能会出现波动,但可以对短期波动进行不断的调整,直到回到均衡状态。
  18. Therefore, the credit market equilibrium is the equilibrium of risk cost and risk return ( risk compensation).
    因此,信贷市场均衡是风险成本与风险收益(风险补偿)之间的均衡,信贷配给论没有抓住信贷市场均衡的特征,因而不能准确反映信贷市场均衡的本质。
  19. Pension personal accounts gradually reach equilibrium, when return rate and contribution years go up.
    随着收益率与缴费年限的逐渐提高个人账户逐步均衡,当两者达到均衡状态时对养老金个人账户贡献最大。
  20. The third part which is consisted of chapter ⅴ and chapter ⅵ makes empirical analysis for micro-credit risk and return equilibrium in China by based innovation theory, and gives optimal path for the implementation of micro-credit risk and return equilibrium in China.
    第三部分根据基础创新理论,对中国小额信贷风险与收益均衡进行实证分析,并给出了实现中国小额信贷风险与收益均衡的优化路径,包括第五章和第六章。