查询词典 portfolio
- 与 portfolio 相关的网络例句 [注:此内容来源于网络,仅供参考]
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Microsoft is responsible for the global Small and Medium Business Solutions and partners, vice president Eduardo Rossini said,"software plus services" mixed portfolio will help Microsoft in the emerging markets and the fight against piracy.
微软负责全球中小企业解决方案和合作伙伴的副总裁Eduardo Rossini说,"软件加服务"的混合组合将有助于微软在新兴市场与盗版作斗争。
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In a statement released today, Bob Rouleau said The close of this acquisition combines CalAmp's long, successful history of delivering cost-effective high quality solutions with Dataradio's unparalleled portfolio of high performance wireless RF products.
在今天发布的一份声明中, Bob Rouleau 说道:本次收购的完成,结合了 CalAmp 高质优价解决方案的成功而悠久经历,以及 Dataradio 优秀的高性能无线射频产品组合。
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The launch of this new route is an important step in progressing Air New Zealand's strategic plan to build a stronger, more nimble airline around a portfolio of profitable routes to desirable destinations.
首席执行官罗伯-费夫先生评论道:"这是新西兰通往中国内地的首条直飞航线,拥有广阔的市场前景,是纽航朝向更强大、更具亲和力的航空公司迈进的重要一步。"
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The main research results and conclusion are as follows:At first, the research under the institution background of the configuration of binary stock equity indicates a market portfolio in the SEO market, and the new issue's market demand only directly related to the market capacity, the composite price index, speculative gains, the risk inverse matrix and its row vector.
主要研究成果和结论如下:第一,本文研究表明,在股权二元结构制度环境下,增发市场存在市场组合,新股市场需求量只与市场容量、综合价格指数和投机收益以及风险矩阵的逆矩阵及其行向量直接相关,因投机收益受到新股发行量和新股发行价格的影响,因此新股市场需求量与两者间接相关。
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Moreover, it does so without saddling itself with exposure to a mixed portfolio of 15 deals done at the peak of the market.
这还不算,中投在投资的同时,不必背上该基金在市场顶峰时期达成的15宗交易的投资组合。
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Five ways on comparing covariance matrix are applied to the Shanghai 50 Indexes Stock Exchange, which are sample covariance matrix, scalar matrix, two-parameter covariance matrix, single index matrix, constant correlation matrix. We adopt principal components method and Markowitz portfolio method to measure stock market risk using VaR, getting the effect of measuring market risk. The result shows that sample covariance matrix and two-parameter covariance matrix could measure market risk more effectively.
本文以上证50指数数据为样本,采用样本协方差矩阵、数量矩阵、两参数模型矩阵、单指数模型矩阵、常量相关矩阵作为与股票相关的协方差矩阵,结合投资策略选择的主成分方法和Markowitz最优投资组合方法,计算VaR以度量市场风险,并比较了五种协方差矩阵度量市场风险的效果,结果表明,在主成分方法中,样本协方差矩阵和两参数矩阵方法能有效的度量市场风险。
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In 1974, Paul Samuelson publishes "Challenge to Judgment" in the Journal of Portfolio Management.
在1974年,保罗。萨缪尔逊在《证券投资组合管理》杂志上发表了"挑战判决"一文。
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In 1974,Paul Samuelson publishes "Challenge to Judgment" in the Journal of Portfolio Management.
1974年,保罗。萨缪尔逊在杂志上发表了"对判断的挑战"一文。
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The paper uses duration technique to measure portfolio interest rate risks under liability-driven investment. We first introduce Lewin and Satchell equity duration model, and establish an simple equity duration model under free cash flow to equity.
本文首先回顾了 Lewin 和 Satchell 提出的股票久期模型,然后基于股权自由自由现金流模型建立了一个简化的股票久期模型,以这两个模型为依据,计算出我国上证50指数成分股的总体久期值分别为18和25。
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"You can argue that there's nothing as good as Vuitton in LVMH's portfolio," says Pierre Mallevays of Savigny Partners, who was formerly director of acquisitions at LVMH,"but that simply states the fact that LV's business model is the gold standard of luxury brands; no other brand in the world compares to it."
"可以认为,在LVMH集团的资产组合里,没什么品牌比得上VUITTON。"LVMH收购部门的前任总监,现任职于Savigny Partners公司的Pierre Mallevays说道。"但这仅仅说明了一个事实:LV的商业模式是奢侈品牌的金牌标准,世界上再无其它品牌能够与之相媲美。"
- 推荐网络例句
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By the time of its fall, most of the prisoners were writers who had written against the corruptions of the government.
到它被攻陷的时候,里面多数的犯人是写了反对政府贪污文章的作家。
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The most obvious variation to ovum morphological character was that the color was changed from light green to sepiaceous in embryonic development, and all the ovums were almost hatched after 96h.
在胚胎发育过程中卵的形态特征最明显的变化是颜色从淡绿到深褐色,卵在发育96h后卵基本全部孵化。
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There was a conflict between plebs and patricians in ancient Rome in 494BC.
在公元前494年,罗马发生了一次平民反对贵族的斗争。