returns ratio

英 [rɪˈtɜːnz ˈreɪʃiəʊ] 美 [rɪˈtɜːrnz ˈreɪʃioʊ]

网络  收益率

经济



双语例句

  1. Bigger is still better, but at some point you'll experience diminishing returns as the buffer pool hit ratio moves to the98+% range.
    越大当然越好,但是在某一点,当缓冲池命中率达到98+%时,会随内存的增加命中率反而下降。
  2. The PI method returns the ratio of a circles circumference to its diameter.
    PI方法返回圆周与直径的比率。
  3. Random measured data is regressed using SPSS software, and the mathematical model among internal returns ratio and the daily production of single well and the well depth was obtained.
    利用SPSS软件对随机测得的数据进行回归,得到内部收益率与单井日产量和井深的具体数值方程。
  4. Then, according to mathematics equation of the model, an equation of internal returns ratio and daily production of single well and well depth was derived.
    然后,根据模型的数学方程推导出关于内部收益率与单井日产量和井深的方程式。
  5. It shows negative correlation between internal returns ratio and well depth, and positive correlation between interval returns ratio and daily production of single well.
    数值方程显示:内部收益率与井深成负相关关系,与单井日产量成正相关关系。
  6. Analyze the SSE ( Shanghai Stock Exchange) Composite Index Week Returns Ratio with Time Series Analysis Method Based on Markov Switching Model
    基于马尔科夫切换模型的上证指数周收益率时间序列分析
  7. If considering the mean value of securities returns ratio at the same time, and by using the method of behavior mean half standard deviation comprehensive returns ratio, we can get one kind of new method of analyzing close-ended fund investment value.
    同时,如果考虑证券收益率的均值,则可以运用行为均值半标准差综合收益率方法,探索出一种新的封闭式基金投资价值的分析方法。
  8. Higher Education Returns Ratio: Theory, Evidence and Commentary
    高等教育收益率:理论、证据与述评
  9. Analysis of the Mean, Half Standard Deviation of Close-ended Fund Investment Value and its Comprehensive Returns Ratio
    封闭式基金投资价值的均值半标准差及其综合收益率分析
  10. First this article used expands the Dick-fuller model the card index to carry on the time series analysis to our country in, finally indicated the index the returns ratio might not forecast.
    首先本文采用扩展迪克&富勒模型对我国上证指数进行了时间序列分析,结果表明指数的收益率是不可预测。
  11. This article analyzes higher education returns ratio target of the multitudinous national by the real diagnosis, and compares with China's target, points out Chinese higher education returns ratio is somewhat low, then inquires about reason.
    本文对众多国家的高等教育收益率指标进行实证分析,并与中国的指标进行比较,认为中国的高等教育收益率偏低,进而探寻其中的原因。
  12. The investment of female human capital has very strong Individual returns ratio and Social return.
    女性人力资本投资具有较高的个人收益率和社会收益。
  13. The economical development of the developed countries proof that the primary education, the secondary education and the higher education investment and returns ratio is decreases progressively, three levels of educations investment ratio is changing along with the change of the education development.
    世界上发达国家的经济发展证明,初等教育、中等教育和高等教育的投资收益率是递减的,三级教育投资比例是随教育的发展而变化的。
  14. Var Analysis on Returns Ratio of Shenzhen Stock Market's Constituent Index
    深圳成分指数收益率的VAR分析
  15. This project benefit share time is three years, the simple recoupment period 1.4 years, internal returns ratio reaches 39%, the energy conservation investment income is quite considerable.
    该项目效益分享期为三年,简单回收期1.4年,内部收益率达39%,节能投资收益相当可观。
  16. Finally through the Granger cause and effect examination, we might see the returns ratio to cause the organization investor mood change, but has not related with individual investor mood.
    最后通过Granger因果检验,我们可以看出收益率引起了机构投资者情绪的变化,但和个人投资者情绪没有关系。
  17. Therefore, according to the risk-income symmetrical principle, the corporate bond's returns ratio should be higher than the non-risk interest rate at the same time.
    根据风险收益对称原则,企业债券的收益率应该高于同一时期的无风险利率。
  18. Therefore, the govern structure research choice stockholder's rights structure, the internal control, the outside takes over control and organization investor these four aspects, company achievements resolve into two targets: Net assets returns ratio and Tobin Q value.
    所以,治理结构研究选择股权结构,内部控制,外部接管与机构投资者这四个方面,将公司绩效分解为两项指标:净资产收益率和托宾Q值。
  19. The higher education returns ratio is an important target of weighting higher education investment economic efficiency from the human capital angle.
    高等教育收益率是从人力资本的角度衡量高等教育投资经济效益的重要指标。
  20. According to modern finance, the returns ratio of securities market obeys the normal distribution. Based on this fact, the equilibrium market financial theory has been put forward.
    现代金融经济学认为金融市场收益率服从正态分布,并在此基础上建立了均衡市场的金融理论。
  21. Through a basic statistical analysis of Shanghai copper contract continuous sequence, the paper finds that the peak thick tail in the returns ratio sequence, which sways from the normal distribution for its lever effect.
    通过对我国沪铜期货合约连续序列的基本统计分析发现,收益率序列存在尖峰厚尾性,不服从正态分布,还具有杠杆效应。
  22. Based on this and we has constructed model to exam the lagged effect on the total asset growth to the excess stock returns ratio. The research confirmed the supposition that the total assets rate Lagged three years has a remarkable relation to the stock returns ratio.
    并在此基础上构建了总资产对超额股票收益率滞后影响的模型,研究证实了滞后三期的总资产增长率对超额股票收益率有显著负向作用的假设。
  23. Net assets returns ratio, the amount of cash flow per share have a negative correlation with the stock price and it pass through T test.
    净资产收益率、每股经营现金流量与股票价格负相关通过t检验。
  24. The result proves that state-owned banks are lower than other banks; net returns on equity, ratio of nonperforming loans are the two main factors affect bank efficiency.
    结果表明我国国有商业银行效率低于股份制商业银行;影响我国商业银行效率的主要因素为净资产报酬率、不良贷款比率。
  25. In the previous research many scholars did, this transmission mechanism already have been confirmed very good, namely the fine weather a high returns ratio, the bad weather low even a negative returns ratio.
    在以往很多学者的研究中,这一传递机制已经得到了很好的证实,即好天气高收益率,坏天气低甚至是负的收益率。
  26. In the course of the study of the both relations, we selected the returns ratio of total assets as the index to evaluate the corporate performance.
    在研究两者之间关系的过程中,选取了总资产收益率作为评价公司经营绩效的指标。
  27. Has used the new evaluating indicator system in the financial appraisal, increased the average returns ratio ( R) to carry on the financial appraisal precisely.
    在财务评价中使用了新的评价指标体系,增加了平均收益率(R)来更精确的对建设项目进行财务评估。
  28. Then has given the financial risk definition, carries on the classification according to the different standard to it, mainly elaborated the systematic risk and the non-systematic risk difference and the relation; Has given the combination returns ratio and the variance computing mode.
    接着给出了金融风险的定义,按照不同的标准对其进行分类,主要阐述了系统性风险和非系统性风险的区别和联系;给出了组合收益率和方差的计算方式。
  29. Meanwhile, firm size and the net assets returns ratio are chosen as the control variables.
    同时,将资产规模和净资产收益率作为研究的控制变量。
  30. International trade financing takes one kind of cost to be low, the returns ratio high effective financing way, becomes the focal point which naturally each line competes.
    国际贸易融资作为一种成本较低、收益率高的有效融资方式,自然成为各行争夺的焦点。