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stock option相关的网络例句

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与 stock option 相关的网络例句 [注:此内容来源于网络,仅供参考]

Generally, any stock that trades outside the major stock exchanges and also that is taken as depreciatory is known as "penny stock".

一般来说,任何行业的股票以外的主要证券交易所上市,而且是作为贬值称为"一分钱股票"。

It is worth noting that in addition to stock appreciation rights conferred by the listed companies as well as the extraction of incentive funds to buy A shares in circulation restricted stock grants in two ways, otherwise the subject matter of incentives (such as the incentive target Options line, directed the transfer of additional shares or stock to shareholders of the target incentive) have a clear line of the right price, the right incentives need to target the money to pay.

值得注意的是,除了股票增值权赋予上市公司以及奖励基金提取的两种方式购买流通A股限制性股票,否则奖励事项(如期权激励的目标一致,指示额外股份或股份转让给目标激励)的股东,有一个合适的价格,线条清晰,正确的激励目标需要钱支付。

As a mature tools in risk management in the international financial market, stock index futures hasnt been put into trading in our country for a long time. One of the most important reasons is that it maybe disarrange the present market, and then results in the coinstantaneous reflection between the markets on stock index futures and the present stock.

作为一种国际市场上成熟的风险管理工具,我国迟迟没有推出,其中一个重要的原因就是怕出现市场操纵,进而引起股指期货和股票现货市场的联动反应。

Adopting the network of radial basis function ormended BP network,the forecasting network model of stock on estimation region can beestablished.The stock of each pixel in estimation region can be calculated through simulationapproach,the total stock of compartment or sub-compartment can be obtained by way of theintegration to all pixels.

通过径向基网络或改进的BP网络建立估测区域蓄积预报网络模型,借助仿真方式计算估测区域每个像元的蓄积,对全部像元积分可得到林班或小班的总蓄积。

Among them the influence factor of the stock is mainly: Fund manager select stocks ability, investment style and ability to deal with the accident, national macroeconomy situation factor, the market value of stock usually have the direct influence to the fund net value; To bond part in the net value of the fund, interest rate and the investment ability of fund manager concerns the value level of this part of assets directly, because the securities regulator of our country has made the regulation to the proportion of the fund investment bond besides this, so, this proportion will restrict fund managers investment on the bond either, thus exercise an influence on some value of bond ; Besides stock and two bond, to another important component in the net value composition --The cash, we will all sum up its factor of exerting an influence for the mobile risk factor, namely the risk as a reasult of the exility of cash.

其中股票方面的影响因素主要是:基金经理的选股能力、投资风格和选时能力以及大盘走势与突发事件、国家宏观经济形势因素,股票市值通常受到这些因素的直接影响;对于基金净值中的债券部分来说,利率和基金经理的投资能力直接关系到这部分资产的价值高低,除此以外由于我国证券监管机构对基金投资债券的比例作了规定,因此,该比例也会制约基金经理在债券上的投资,从而对债券部分价值发生影响;除了股票和债券两部分以外,对于净值构成中的另一重要组成部分——现金,我们将对其产生影响的因素全部归纳为流动性风险因素,即由于现金的稀缺而导致的风险。

At last, we continue to analyze the influence which the macroeconomic growth rate has on the volatility of the stock returns. We make the macroeconomic growth rate as an exogenous variable to add to the above iterated weighted volatility model. From the above analysis, we can draw a conclusion that the volatility of the stock returns of Chinese stock markets will strengthen in economic expansion period and weaken in economic recession period.

在此分析前提下,继续深入分析宏观经济增长率对股票市场收益率波动的影响,将宏观经济增长率作为外生杠杆变量加入到上面的迭代加权最小二乘法的条件波动率模型中,结论是我国股票市场收益在经济扩张期波动性减弱,而在衰退期波动性增强。

The 4 · study content includes: Stock elementary knowledge Stock noun terminology Fundamental plane analysis Technical surface analysis The plate mouth language actual combat experience folk secret simulation speculates in the stock market and so on ......

4·学习内容包括:股票基础知识股票名词术语基本面分析技术面分析盘口语言实战经验民间秘技模拟炒股等等。。。。。。

In general, this paper includes several parts, shown as the following: The first part summarizes the background and outline of stock index future and introduce briefly its local status and CSI 300 stock index future contract. The second part has a retrospect of the main academic papers of both local or overseas, and also a discussion of relevant hedge strategies and models, to lay a solid theoretical foundation for the empirical analysis and test for the operation process of hedge in latter parts. The third part outlines the principle, key factors and real operation process of hedge. Moreover, it makes a empirical analysis on popular hedge models with HK Hang Seng index. In the end, it test the hedge effect of trading on IF0706, CSI 300 stock index future contract, with CCB select-growth securities fund as present underlying. The fourth and also the last part, explores how to define hedge ratio in china mainland market. It includes the stability test ofβfor local securities portfolio, adjustment of historicalβand best data length for estimation of historicalβ, etc. Also, the thesis makes some beneficial experiments on the definition of best data length for estimation of historicalβ, survey of fashion forβand variation for industryβs. Fortunately, it's got some meaningful results.

按照以上研究思路,本论文论述由以下几个部分构成:第一部分,简要概述股指期货产生的背景和基本情况,对国内股指期货进程和沪深300股指期货合约进行简单介绍;第二部分,回顾海内外股指期货避险研究的主要文献,讨论相关避险策略及避险模型,为后面套期保值策略如何有效运用的实证分析和检验提供理论基础和依据;第三部分,对套期保值的原理、关键因素及实际流程进行概述,并采用香港恒生指数对常用的几种避险模型进行实证分析,最后一揽子以建信优选成长股票型基金为现货标的,实际检验以沪深300股指期货模拟交易IF0706产品进行对冲时的套期保值效果;第四部分,探讨国内确定避险比率的过程,包括国内股票组合β值的稳定性检验、历史β值的修正及估计历史β值的最佳数据长度等,通过数据分析,本文在寻找估计β值的最佳数据长度和考察风格、行业β值的差异上做了较为有益的尝试,并得到了有助于现实操作的结果。

September 18, which is a loading in China's stock market go down the days to come, coincidentally,"9.18" is "a rescue" the homophony, after the close of that day, management issued a three Lifeboat policy , will be replaced by unilateralism levy stamp duty on stock transactions, Huijin announced that with immediate effect in the secondary market to buy workers, the construction of three major banks stocks, SASAC encourages the central rate announced stock repurchase its own.

9月18日,这是在中国股市载入下去的日子,巧合的是,"9.18"是"拯救"的谐音后的这一天结束,管理层发出三救市政策,单边主义将被取代征收股票交易印花税,汇金公司宣布,在二级市场购买即日起工人,3大银行股票的建设,国资委鼓励中央宣布的股票回购利率本身。

The high risks, the anticipative trades and the impersonalization of stock market determine that the well-ordered development of stock market must rely on the principles of credit and the principles "open, impartiality and justness", which jointly constitute the system of ethical principle and guarantee the healthy and steady development of stock Markey.

证券市场的高风险特质、交易的预期性与非人格化特征决定了证券市场的良序发展必然依赖诚信原则和三公原则。

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