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收益模型的英文

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"收益模型"怎么读用"收益模型"造句

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  • earnings pattern

例句与用法

  • Then , it discusses the four methods of synergy evaluation , pointing out the importance of cash flow method and event - based method in ex - merger and post - merger
    然后,探讨了协同效应评估的四个方法,指出现金流评估法和事件收益模型分别在并购前评估和实证研究中的重要性。
  • Further , using the event - based method , the author examines the synergy of china ' s m & as empirically . it finds out that m & as in china did n ' t create any new value in short time
    接着,运用事件收益模型,对我国并购的协同效应进行了实证分析,指出短期内并购并没有创造出新的价值。
  • We survey external methodology papers about long - run event studies , and focus on analyzing and introducing " the choices of expected return models ( or return benchmark ) " , " the approaches to measure abnoumal performance " , and " the empirical power and specification of test statistics "
    摘要本文对国外长期事件研究方法论文献进行了全面的梳理,并着重介绍和分析了期望收益模型(或收益基准)选择、异常收益度量,以及检验统计量的设定与检验力等。
  • ( 3 ) setting up a stochastic convenience yield model of evaluating mineral resources assets based on the basis of the option a stochastic convenience yield model has been structured and a stochastic convenience yield method of evaluating mineral resources assets based on option has been set up
    ( 3 )建立了基于期权的矿产资源资产估价随机便利收益方法从风险中性的角度出发,构建了便利收益的随机波动模型,推导出矿产资源资产估价的随机便利收益模型
  • Our results show that as for which expected return models or approaches to measure abnormal performance - aar ( or car ) and bhar is more appropriate , and whether test statistics being misspecificated , there are different answers from the academic field , and the controversies still continue
    研究发现,在各期望收益模型、两种度量异常收益方法aar (或car )与bhar的选择,以及各检验统计量是否存在错误设定等问题上,国外学界并未达成共识,争论仍在继续。
  • The paper brings to light the value of the different sub - objectives contributing in the function of financial synthetic objective in a financial synthetic profit model through analyzing the volumes and slopes of the two - dimensional vector . the theoretical basis of the synthetic profits of enterprises participating inte rnational securities market financing has been brought out
    同时构建了融资综合收益理论模型,并对该模型进行二维向量分析,通过对二维向量的模和斜率的分析,揭示了企业融资综合收益模型的融资目标函数中各子目标函数权重对其贡献的大小。
  • The fourth chapter " reseach on fractai structure of stock price " anaiyzed the fractai structure of stock price , deduced the investment function , caiculated the hurst exponent , 3 correlation dimension , and max lyaponov exponent , analyzed the self - similarity , long range dependence , circulation period of stock price and sensitivity of stock price to the initial value , suggested took the exponent characterize fractal instead of variance as instrument to measure risk
    第四章分析并检验了股票市场的分形混沌特征,推导了投资函数,计算了表征股票市场分形特征的hurst指数,关联维和最大lyapunov指数,分析了股票价格的自相似性、长期记忆和循环周期,分析了股票价格的波动对初始条件的敏感性,提出中国股票市场具有混沌分形的特性,用传统的方差法度量股票风险是无效的,必须使用混沌分析能够理论来刻画股票收益的风险,建立收益模型
  • This thesis use the application of the text analysis method , system method , comparison method and other research method , and clarify the two important manner and the three important ways of the human resource integratation in modern enterprise . meanwhile it use the cost - income model , and analysis the efficient choice of text on human resource integratation in modern enterprise from economic angle
    本文运用实证分析方法、系统方法、比较方法等研究方法,阐明了现代企业人力资源整合的方式和途径。本文还运用成本?收益模型,从经济学的角度分析了企业进行人力资源整合绩效测评的效率选择。
  • On the basis of other researches this paper qualitatively expounds the risk and opportunity of china telecom equipments industry with a lot of detailed data and facts . and we use the risk - return model of the modern finance theory to quantitatively evaluate the risk of this industry and compare it with the american telecom equipment industry
    笔者结合相关历史文献,以大量的数据和事实定性地分析了我国通信制造业的风险和机遇;运用现代金融理论提出的风险收益模型对行业风险进行了定量的测算,并与美国通信设备行业的相应指标进行了对比。
  • The thesis defines the concept of asset securitization , expounds characteristic and the condition to use . analyses the relationship between the choice of financing tool and the firm value , express max firm value is a good standard to weigh the tool . then , through the ri model and finance theory , the thesis explains the motivations of asset securitization , demonstrates the influence effect on firm value by qualitative and quantitative analysis of cost - benefit of corporate asset securitization , and discusses the role of asset securitization to solve corporate financing puzzle and the future of asset securitization in our country
    本文首先提出我国企业面临的融资困境的实质是企业资本结构的不合理以及融资渠道单一影响的,即融资工具不能实现企业价值最大化;在对资产证券化的概念进行界定后,阐述了关于资产证券化的特征,明确了资产证券化的特点和使用条件;分析了资产证券化工具的选择与企业价值之间的关系,提出了企业价值最大化是衡量企业融资工具选择是否合理的标准,为企业通过资产证券化融资提升企业价值提供了理论准备;然后,运用现代财务理论和剩余收益模型,通过对我国企业资产证券化的实践进行成本收益的定性和定量的效果分析,论证企业资产证券化对企业价值的影响效果;最后论述了我国实施资产证券化的现状和未来发展,并且对我国实施资产证券化的具体方式提出了新的构想。
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