资产收益
- 与 资产收益 相关的网络例句 [注:此内容来源于网络,仅供参考]
-
Huge returns on tangible assets, can't for any extended period reinvest a large portion of
的:真正卓越的公司,从有形资产中获得巨大收益,但永远不会把大部分的利润进行内部再
-
Commonly, original "tax basis" is book value of assets, however whether there is discrepancy for entry value and tax basis and deduction of retained earnings in certain restructuring transaction shall be taken into consideration while determining original "tax basis".
通知》虽未明确,但我们认为原"计税基础"的确定还应考虑资产取得时入账价值和计税基础是否有差异,且在某些重组交易中,还应当考虑转让方留存收益的扣除。
-
It was her capital that supported him throughout the early unremunerative years of the prophet business.
在他早些年以预言为业但没有收益的时候,是依靠她的资产生活的。
-
On the sample book and the alternative basis of window, to deduct the measurement index being not that usualness gains and losses all-round shares infertile earnings per share being the accountant surplus, the each share net asset adjusting the day afer tomorrow's look on end of term as the data that the research institute needs at the same time.
有关窗户的样本和可用作替换基础扣除不是通常获得度量索引和全面丢失分担是会计人员剩余不肥沃的每股收益每一份网资产,白天afer调整明天的连续是研究所需要的数据术语的看同样的同一时间。
-
In the second chapter, we introduce utility theory, mean-variance model, VAR method, rate of return.
第二章首先介绍了效用理论、由Markowitz提出的均值—方差模型、VAR风险管理方法、收益率分布问题,在Markowitz的均值—方差模型的基础上,重新定义了证券收益的风险,提出了一个新的用于资产配置的模型,这主要是为了实现规避风险进行分散化投资。
-
Chapter!? expounds the five main aspect of risk in national commercial bank, i.e..signal liability structure,bad loan quality, low capital efficiency, imperfect restriction on interior power, thin consciousness on risk avoidance;summarizes five characters of the bank risks, including risk concentration, moral risk, risks caused by system structure, inequi ty between bank risks and revenues, aggrandizement trend of bank risks;analysis eight reasons for bank risks, including proprietary ownership voidance,macroeconomic fluctuation, ineffective capita buffer mechanism, enterprise reasons.no synchronous fiscal investment and financial reform, incompetence law and regulation enforcement.
紧接着在第三章阐述了我国国有商业银行风险的"五大表现",即负债结构单一、信贷资产质量差、资本充足率低、内部控制机制薄弱、防范风险的意识淡薄;总结了我国国有商业银行风险的"五大特点",即风险高度集中、风险人为匿藏、风险的体制性、风险与收益严重不对称、风险呈继续扩大态势;剖析了我国国有商业银行风险形成的"八大因素",即金融产权"人格"虚设、宏观经济波动、资本金等缓冲机制不健全、财政、投资和金融的体制改革不配套、法律和法规不健全等。
-
At first, the thesis reviewed the relevant theory about asset securitization at home and aborad.
接着介绍了企业资产证券化的定义、特征和运作流程,从动因和收益角。。。
-
Based on the assets specificity,this pa- per establishes the evolutionary game model under shareholding cooperative system and takes the degree of as- sets specificity、the size of appropriable quasi-rents、cooperative surplus and a...
本文认为农村信用社资产专用性的程度、可占用准租的大小、合作剩余、社会平均资本收益是股份合作制模式下农村信用社保持股权结构和资本稳定的主要因素。
-
For example, an endowment or pension fund might consider basing its payout decisions more on long-run, potential shock-adjusted avera ge returns than on a simple weighted average of past returns or end-period asset values.
例如,捐赠或养老基金的支付策略将考虑更加长远的、潜在的冲击调整后的平均回报,而不是一个简单的加权平均收益或过去的期末资产价值的平均回报。
-
Most of the literature on bank runs takes the asset side of the bank activities as given and assumes that the bank's returns are determined by an exogenously given production function.
大多数有关银行挤兑的文献将银行经营的资产部分作为给定的,并假定银行收益是由外生给定的生产函数决定的。
- 推荐网络例句
-
I didn't watch TV last night, because it .
昨晚我没有看电视,因为电视机坏了。
-
Since this year, in a lot of villages of Beijing, TV of elevator liquid crystal was removed.
今年以来,在北京的很多小区里,电梯液晶电视被撤了下来。
-
I'm running my simile to an extreme.
我比喻得过头了。