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]
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This article analyzes the profit model of insurance companies in detail and validates the relevance between the prescripts which have been constituted by the China Insurance Regulatory Commission in the operation of insurance funds and the investment income of insurance companies through financial statements of the three companies, China Life, Ping An of China and China Pacific, which have been coming into A-stock market. It analyzes the relationship between the insurance company asset allocation and the funds income and risk of insurance companies by simulating the different insurance companies' earnings on different asset allocation and different equity investment yield, so as to arrive at the objective how to configure which prescripts to funds operation of insurance companies is reasonable, demonstrates the rationalities of insurance funds operation prescripts which have been constituted by the China Insurance Regulatory Commission, and considers the equity investment of insurance companies can be properly enhanced to thirty percent of total assets because China's economy will develop stably, chronically and at high-speed .
文中通过借助目前A股上市的中国人寿、中国平安和中国太保三家保险公司的报表详细地分析了保险公司的盈利模式,验证了保监会关于保险资金运用的管理规定与保险公司的投资收益率存在的相关性,并通过模拟在不同资产配置及不同股权投资收益率下保险公司最后的收益情况,用数据分析了保险公司资产配置与保险公司的资金收益和风险的关系,从而得出保险公司的资金运用怎样规定才是合理的,也论证了保监会对保险资金运用的管理规定的合理性,并认为在我国经济仍将长期稳定高速发展的情况下,可适当将保险公司的股权投资比例提高到总资产的30%。
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In this article,we focus on the equity valuation.income approach as one of basic methods of asset valuation,which results is the present price of the company's future earnings.as one of major parameters in income present value model,the discount rate has great influence on the final results of the assessment.
收益法作为资产评估的基本方法之一,其结果反映的是资产创造的未来收益在现时的价格。而折现率作为收益现值法模型中的重要参数,其确定对评估结果的公允性有很大影响。
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What's more the relations between different asset are classified to three groups which are the fundamental-derivative relation、the cross sectional relation and the comprehensive relation, on basis of which the asset pricing anomalies are classified individually to different groups.(2)The price model of the capital asset is constructed trailing the path of the asset value's incrementing and transferring. And then a three–factor model is established which can be utilized by the empirical researches. Concretely, under the capital chain, we conclude the relation between the stocks and the corporate assets is a fundamental-derivative one and the research object is the capital asset under the capital chain.
具体而言,本文在资产链的角度下分析股票和公司资产之间的"基础—衍生"关系,明确了本文的研究对象为资产链下的资本资产;建立了公司资产的价值,将公司资产和其基础资产公司的财产联系了起来,构造了资产链上第一个节点——公司资产的价值;将公司资产和资本资产进行了关联,在考虑公司资产变为资本资产的流动性增值后,建立了资本资产的价格模型;在前文资本资产价格模型的基础上进行了收益分解,基于此引入了具有长中短不同决策周期的三类投资者,在存在无风险资产和不存在无风险资产两种情况下分别建立了可用于实证的三因素模型。
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This paper systematically analyzes the temporary differences from two aspects of initial recognition and further recognition,and then summarizes the similarities and differences between temporary difference based on asset-liability view and timing difference and permanent difference b.
按照资产负债观的收益理念,会计收益与应税收益之间的差异表现为资产、负债的账面价值与其计税基础之间的差异——暂时性差异。
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Their most basic beliefs about stocks have been shaken, notably the idea that buying and holding is smart and that stocks will outgain other assets over time.
他们对股市最基本的信心已经动摇了,特别是对&买进并持有是明智之举&、&长期来看股票会比其他资产收益高&这样的看法。
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In the developed countries, the proportion of financial capital gains has reached 30% to 40%.
在一些金融市场发达的国家,居民金融资产收益往往占到居民可支配收入的30%至40%。
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In this paper, we compute the futures portfolio' VaR by using copulas, and obtained a lot of valuable results under different distributions of assets return.
论文应用连接函数对具体实际的期货投资组合VaR进行了计算研究,得到了不同资产收益分布下投资组合VaR的许多有价值的计算结果。
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To most of the treasurers, cash management is a system to maximize return of asset, while the experience of passing through the credit crunch crises make treasurers to realize the most important thing is to have full control of cash.
对大多数司库而言,现金管理是一个最大化资产收益的系统,而通过这场信用崩溃的危机让司库们意识到最重要的是完全控制你的现金。
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They could suffer catastrophic losses if the treasuries are repriced. The 10-year treasury is yielding 4 per cent, against 4.1 per cent inflation in the US last year, and probably higher this year. The market still doesn't believe the current inflation rate will stick. When it wakes up to the inflation reality, the 10-year treasury may yield over 6 per cent and its nominal value could decline by 40 per cent.
一旦外汇资产价格波动,那将会给这三个国家带来不可估量的损失。10年之间,持有的外汇资产可能会带来4%的收益,但这相对于美国4.1%或者更高的通货膨胀率来说,实在是不太划算,并且从市场运行状况来看,通货膨胀继续恶化的趋势似乎没有听下来的迹象,当真正面对实际通货膨胀率时,10期间的外汇资产带来的收益也就是6%左右,但通货膨胀引发外汇资产的贬值额度却达40%之多。
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They could suffer catastrophic losses if the treasuries are repriced. The 10-year treasury is yielding 4 per cent, against 4.1 per cent inflation in the US last year, and probably higher this year. The market still doesn't believe the current inflation rate will stick. When it wakes up to the inflation reality, the 10-year treasury may yield over 6 percent and its nominal value could decline by 40 per cent.
一旦外汇资产价格波动,那将会给这三个国家带来不可估量的损失。10年之间,持有的外汇资产可能会带来4%的收益,但这相对于美国4.1%或者更高的通货膨胀率来说,实在是不太划算,并且从市场运行状况来看,通货膨胀继续恶化的趋势似乎没有听下来的迹象,当真正面对实际通货膨胀率时,10期间的外汇资产带来的收益也就是6%左右,但通货膨胀引发外汇资产的贬值额度却达40%之多。
- 推荐网络例句
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I didn't watch TV last night, because it .
昨晚我没有看电视,因为电视机坏了。
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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。
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I'm running my simile to an extreme.
我比喻得过头了。