风险差额,风险酬金
风险溢价;风险酬金;风险报酬
gross premium───[保险]总保险费
gross premiums───[保险]总保险费
at a premium───溢价;非常珍贵;在票面价值以上
risk profile───n.(企业的)风险预测
single premium───一次收付清的保险费;一次付清的保险费
risk appetite───风险胃纳
share premium───股票溢价
average premium───[保险]平均保费
regular premium───定期保费;期缴保费
But what is the expected risk premium when beta is not 0 or 1?───但是当beta不是0或1的时候,期望风险溢价是什么?
By forecasting term risk premium, investor could rational choose different maturities of bonds.───根据对期限风险溢价的预测, 投资者能够合理的选择所投资的期限.
The first is market type returns with a risk premium.───第一种是市场常见的收益类型,带有风险溢价性质。
The result is a risk premium of 5.3%.───结果是5.3%的风险溢价。
Credit risk premium is generally considered to be compensation for credit risk.───信用风险溢价通常被认为是对信用风险的补偿.
The DR 3 is simply the real risk free rate + real expected market risk premium.───DR3很简单,等于无风险利率加上实际预期的市场风险溢价.
The high risk premium earned in the market seems to imply that investors are extremely risk - averse.───在市场中赚取的高风险溢价似乎暗示着投资者是极端风险厌恶的.
The risk premium on Brazil's bonds soared.───巴西债券的风险溢价一路飙升。
How about the market risk premium?───市场风险溢价到底如何呢?
This paper derives the liquidity risk premium for voting and non - voting shares based on Arrow - Pratt's thoughts.───本文采用Pratt-Arrow 对风险溢酬的度量方法,分析了有投票权和无投票权股票的流动性风险溢酬.
Risk Premium of the Term Structure of Repo Rates in the Shanghai Stock Exchange.───上海证券交易所回购利率期限结构的风险溢酬.
The best efficient portfolio offers the highest ratio of forecasted risk premium to portfolio standard deviation.───最优投资组合提供了最高的预计风险溢价对投资组合标准差比率.
The theory of CAPM made a new anation to the risk premium introduced by Keynes.───期货资本资产定价理论对凯恩斯的风险报酬作出了新的解释.
We can find the exact credibility estimator of risk premium under the symmetric loss function.───本文引入了对称损失函数,并求得基于该损失函数的确切可信性估计.
This would point to a risk premium of about 7 percent.───这就指出了约为7%的风险溢价.
Speculation in CDS may drive the risk premium higher.───CDS投机 可能推高风险溢价.
The risk premium on Brazil's bonds soared.───巴西债券的风险酬金也大幅上升.
The risk premium on Brazil's bonds soared.
If then follows that the sign of the risk premium can not be decided apriori.
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The risk premium that investors usually demand for holding bonds over a longer period has shrivelled.
Speculation in CDS may drive the risk premium higher.
We can find the exact credibility estimator of risk premium under the symmetric loss function.
But what is the expected risk premium when beta is not 0 or 1?
This is reflected by the inclusion of the risk premium factor.
How about the market risk premium?
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