expected return

[ɪk'spektɪd rɪ'tɜːn]
  • 释义

    预期收益;

数据更新时间:2026-08-25 13:16:58
1、

The more the better effect and the space to create beneficial effects will increase the noise trader expected return, whereas the price pressure effect and the buy low and sell high effect will reduce the expected benefits of noise traders.

在影响噪声交易者预期收益情况的四种效应中,多多益善效应和空间创造效应有益于增加噪声交易者的相对预期收益,反之价格压力效应和买高卖低效应则会减少噪声交易者的预期收益。

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2、

Third, the expected return on investment analysis.

第三, 投资收益预期的分析.

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3、

The expected return depends not only upon the physical capabilities of the machine.

这台机器的预期收益不仅仅取决于它的物理性能.

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4、

So the expected return of entrepreneurs will greatly influence their entrepreneurial decision.

预期回报对决策具有决定性的影响.

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5、

Finally, taking Shanghai for example, an empirical analysis in which IRR is used to substitute the future expected return rate is used to demonstrate the possibility of introducing low-rent housing REITs in Shanghai.

最后,本文以上海市推出廉租房REITs的可能性为例,以内部收益率替代REITs的预期收益率,进行了实证分析。

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6、

In that case the reduction in volatility is not worth the loss in expected return.

出现这种情况时,降低的波动性已抵不上预期回报方面的损失。

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7、

The Treasury bill rate is4 percent, and the expected return on the market portfolio is12 percent.

短期国债利率为4%,市场投资组合的期望回报率为12%。

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8、

These are gestures of genuine friendship with no favours expected in return.

这是友谊的真正表现,不期待任何回报。

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9、

The extreme good and bad returns average out, resulting in a reduction of risk without affecting expected return.

把最好与最坏报酬的投资标的放在同一组合中抵销彼此,在不影响期望报酬下,降低风险;

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10、

They would drop out of the APT formula for expected return.

它们将退出期望回报率的APT公式 (也就是说不在考虑范围之内).

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11、

On the Expected Return Model in Capital Market under Uncertainty

不确定性条件下资本市场投资预期收益模型探析

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12、

At present, close to the expected return of three times current earnings.

目前预期收益接近活期收益的三倍.

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13、

In a survey of child domestic workers in Delhi, save the children found that many schools serving the poor were of such low quality that the expected return on education was not equal to the sacrifice of income made during school years.

拯救儿童组织在德里做过一次关于家庭童工的调查,发现很多为穷人服务的学校教学质量低下,以致于教育的预期回报还抵不上上学期间牺牲的收入。

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14、

All expected his return earnestly.

众人切盼他归来.

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15、

As for the expected return of the Trust shares the same great uncertainty.

至于参股信托的预期收益同样有很大的不确定性.

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16、

Expected payoff is $ 100 and expected return is zero.

期望收益为$100,期望回报率为零.

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17、

The precondition of the model is being linearity casuality between the expected return of an asset and variance of the market portfolio.

资本资产定价模型的前提是建立在资产的预期收益对于其市场投资组合收益的方差为线性的关系上。

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18、

James Ducker in this morning's Times newspaper says Alonso in not expected to return to training with the Reds this weekend as he finalises his move to the La Liga outfit.

James Ducker在今晨的泰晤shi报上指出阿隆索已经准备好登陆西甲,他并不打算回归利物浦本周的训练。

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19、

Of course, without a significant risk premium this will also reduce that portfolio's expected return.

当然,没有很高的风险溢价,这种做法也将降低投资组合的预期回报。

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20、

They will show an expected return as well as the productivity breakeven point.

它们显示预期的回报和生产力收支平衡点。

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21、

Thus it can obtain the expected return and maximize the profit.

取得预期的收益,获得利润的最大化.

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22、

Whenever a company borrows money, it increases the beta ( and the expected return ) of its stock.

无论何时一家公司借入资金, 这一行为就提高了其股票的beta ( 和期望回报率 ).

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23、

The expected return on any security can be expressed as a linear function of its beta.

预期回报率的任何安全可表示为线性函数,其试用版.

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24、

Table 8.2 puts these numbers together to an estimate of the expected return on each stock.

表格8.2将这些数字放在一起来给出每一支股票的期望回报率的估算.

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25、

An economic model for valuing stocks by relating risk and expected return.

通过相关风险和预期回报来确定股票价值的经济模式.

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26、

He never expected to return home wearing US combat fatigues.

他从没想到会穿着美国军服回家。

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27、

At the same time, it is superior also both on the over expected return and investment risk than those portfolios constructed via familiar finance indicators such as P/ E, Net Asset Value per Share and so on.

而且其超额回报能力和投资风险,也明显优于依据市盈率、每股收益等常见指标建立的投资组合。

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28、

Since there is some risk of default, the expected return always less than the promised yield.

由于存在一些违约风险, 期望收益率总是低于承诺收益率.

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29、

According to the CAPM model, there is a linear correlation between β and the expected return of stock. β is the only factor for the ordinary return of stock.

根据单因素资本资产定价模型(CAPM)模型,股票的β值与期望收益率呈正比例关系,β值为通常收益率的解释因素。

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30、

Second, idiosyncratic risk and expected return of stocks are negatively related.

非系统风险与股票预期收益率负相关;

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