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hedger相关的网络例句

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与 hedger 相关的网络例句 [注:此内容来源于网络,仅供参考]

The paper illustrates the thinking process of Hedger s interpretation on thinking for existence and thinking for arts and points out that his enlightening thinking and questing has led the art philosophy to a new theoretical dimension.

文章简要梳理了海德格尔存在之思与艺术之思互释的思路历程,指出"转向"时期的重要著作《艺术作品的本源》和对荷尔德林诗的阐释,是海德格尔从存在去规定艺术和用艺术来阐释存在的尝试,体现了海德格尔存在论的艺术本质观和文艺批评观。

As a common rule,the classical hedging theories and methods calculate the optimal hedging ratio based on a portfolio including a hedged asset and certain hedging instruments,and don\'t consider risky elements of hedging and hedger\'s realistic requirements during the course of hedging.

传统的套期保值理论与方法一般将需要套期保值的资产和特定套期保值工具作为一个投资组合来计算最优套期保值比率,而且一般不考虑套期保值过程中面临的各种风险因素和套期保值者的实际需求。

using the returns variance minimum of hedging as objective function,using positive profit skenewss as constraint of serious loss'probability,the constraints of hedger serious loss optimal model is set up.

摘 要:以套期保值收益率的最小方差为目标函数,以收益率偏度大于等于零控制套保者遭受重大损失发生的概率,建立了基于重大损失控制的套期保值优化模型。

Considering transaction cost, Hedger's attitude to risk, variance of foreign exchange rate , with Von Neumann Morgenstern utility function and Bernoulli principle, this paper analyses optimal hedging of the foreign exchange risk during the import/export with forward/future contracts, and the influence of the above mentioned factors on the optimal hedge rate.

本文在前人研究基础上,考虑交易费用,决策人对风险的态度,汇率相对风险大小等因素,用Von Neumann- Morgenstern效用函数和 Bernoulli决策法则建立了研究利用远期/期货和约做外汇套期保值问题的一般模型,然后具体分析了一种典型情况下的最优套期保值率的性质。

The dissertation in depth analyzes the inner relationship between hedging and risk diversification, finds out that the relevance among prices or returns of different assets is the common basis for hedging and portfolio selection,and presents the notion of hedging portfolio selection referring to portfolio selection theory,which means that hedgers choose optimal hedging portfolio from a set of feasible hedging tools considering risky elements and hedger\'s real requirements during the course of hedging.

本文深入分析了套期保值与风险分散化思想的内在联系,指出资产之间价格的相关性是套期保值问题和资产组合选择问题的共同基础,提出应该在真正的资产组合选择理论意义上研究套期保值问题的研究思路,即在充分考虑套期保值过程中各种风险因素和套期保值者实际要求的基础上从可供选择的套期保值工具集合中选择最优套期保值组合,并称这种研究套期保值的方法为套期保值组合选择。

This approach will enable the different investors bear the risk, and access to the corresponding rewards. The first two methods did not consider investors attitudes of risk and the expected price of the spot or futures. However, the hedger of the maximize effectiveness calculates the optimal hedge ratio through the establishment of investors utility function and calculus.

前面两类方法都没有考虑投资者的风险态度和对现货或者是期货价格走势的预期,而效用最大化套期保值通过建立投资者的效用函数,再利用微积分求最值的方法来计算最优套期保值比率。

That daily turnover in the currency futures is higher relative to open interest (the number of futures contracts that are open at the end of a session) than in the currency options suggests currency futures are more a speculator's market, whereas the option market may be more a hedger's market.

每天貨幣期货的流通量相对于未平仓合约(在季底依然開放的未來合約數量),比货币期权要高。。。這表明货币期货,相較之下,是一個投机者的市場,而货币期权則是避險的市場。(短线交易者比较多,所以投机成分大)责任编辑:admin

The words referred to a broad, round-shouldered, one-sided old fellow in mourning, coming comically ambling towards the corner, dressed in a pea overcoat, and carrying a large stick. He wore thick shoes, and thick leather gaiters, and thick gloves like a hedger's.

Dickens, Our Mutual Friend 这句话是对一个壮实,圆肩膀,斜着身子走路的,穿件丧服的老头子说的,他正步态轻盈地,样子有些儿滑稽地向拐角上走来,穿一件豆绿色的外套,拿一根大手杖,脚登一双厚底鞋,罩着厚皮的鞋罩子,一双厚手套,像是修篱笆的园丁戴的。

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