资产
- 与 资产 相关的网络例句 [注:此内容来源于网络,仅供参考]
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Secondly, we choose the proportion of shares held by institutions as dependent variable, and we use log of the total asset, volatility, beta, Jensen Index, debt-to-asset ratio, dividend yield, turnover ratio, years listed in exchange and HS300 Index dummy as explanatory variables. Then we set up a multiple regression model. Finally, we use the cross-sectional data from the end of 2006 to the end of 2007Q3 to test the relationship between the explanatory variables and the proportion held by institutions.
具体方法如下:首先,在已有研究成果的基础上,对我国机构投资者的审慎性持股偏好提出了两个假设;其次,以机构持股占个股流通盘的比例为因变量,以公司的总资产对数值、波动率、贝塔值、Jensen指标、资产负债率、股息率、年度换手率、上市年限为解释变量,并在引入沪深300虚拟变量后,建立了多元线性回归模型;最后,采用我国证券市场迎来历史性大牛市、机构投资者发展最为迅猛的2006年末-2007年3季末的四个横截面数据,对各解释变量与机构持股比例之间的关系进行了实证检验。
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Customer-based brand equity measurement is regarded as a very important issue in brand equity research field.
基于顾客的品牌资产测量已成为品牌资产研究的核心和关键课题。
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Meanwhile, it explanatorily attempts to certify the examination passing scores by using educational statistics and mathematical statistical knowledge, and makes examination results and papers analysis to the 2004-2006 Chinese certified public valuer examination from quantitative perspective.
综合运用教育统计学和数理统计学相关知识,对注册资产评估师考试合格分数线的确定进行了探索性的尝试,并从定量角度对2004-2006年注册资产评估师考试成绩进行了考试成绩分析与试卷分析。
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Zhu Ping, in its latest blog,"of excess production capacity and five years after the stock market" so that "now includes China and other economies, the first thing to do is to remove the wrong economic development mode of toxic assets for the United States is too toxic assets of derivatives; For China's export surplus is the production capacity."
朱平在其最新的博客,"产能过剩,5年后的股市",以便"现在包括中国和其他经济体,首先要做的是消除对联合国的错误的有毒资产的经济发展模式国太有毒资产的衍生工具,对中国的出口顺差的生产能力。"
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In order to capture the volatility-clustering phenomenon of financial asset return, we use AR(1)-GARCH(1,1) model to describe the volatility of financial asset return. Then assume different residual distribution and use the GPD method of extreme value theory to residual term to estimate one-day VaR of financial asset loss.
而为了捕捉金融资产报酬所呈现出的波动丛聚现象,因此我们以AR(1)-GARCH(1,1)模型捕捉波动起伏,并考虑不同之标准化残差项分配和对标准化残差项利用极值理论GPD法去估算金融资产损失率之一日风险值。
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Article 2The term "event after the balance sheet date" refers to an event, either favorable or unfavorable, that occurs between the balance sheet date and the date when the financial statements are authorized for issuance.
第二条资产负债表日后事项,是指资产负债表日至财务报表批准报出日之间发生的有利或不利事项。
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Goal margin assets, including housing, various types of mortgage-backed securities on margin, and other Federal Reserve Board agreed to the financial assets.
目标利润的资产,包括住房,各类抵押贷款支持证券的保证金和其他联邦储备委员会商定的金融资产。
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Real estate price will produce violent to fluctuate like financial assets on other capital markets, the strong fluctuation of and the price of real estate are exactly an important characteristic of fictitious assets.
房地产价格像其他资本市场上的金融资产一样会产生剧烈波动,而房地产价格的强波动性正是虚拟资产的重要特征。
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The rapid expansion of fictitious assets leads to far more size of fictitious economy than real economy. Incoordination is shown between fictitious economy and real economy.
随着这种经济结构的转变,虚拟资产在经济发展过程中越来越居于主导地位,虚拟资产的迅速扩张导致虚拟经济规模远远超过实体经济,虚拟经济与实体经济呈现非协调发展。
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Simple things will be held in more opaque loan books and fiddly things held at market prices.
简单的资产作为较不透明的贷款入账,而复杂的资产以市价计量。
- 推荐网络例句
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The split between the two groups can hardly be papered over.
这两个团体间的分歧难以掩饰。
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This approach not only encourages a greater number of responses, but minimizes the likelihood of stale groupthink.
这种做法不仅鼓励了更多的反应,而且减少跟风的可能性。
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The new PS20 solar power tower collected sunlight through mirrors known as "heliostats" to produce steam that is converted into electricity by a turbine in Sanlucar la Mayor, Spain, Wednesday.
聚光:照片上是建在西班牙桑路卡拉马尤城的一座新型PS20塔式太阳能电站。被称为&日光反射装置&的镜子将太阳光反射到主塔,然后用聚集的热量产生蒸汽进而通过涡轮机转化为电力