risk-adjusted

[rɪsk əˈdʒʌstɪd]
  • risk-adjusted
  • 释义

    风险调整的;

纠错 数据更新时间:2026-04-18 09:00:02
1、

Finance professors Brad Barber and Terrance Odean have found that women's risk-adjusted returns beat those of men by an average of about one percentage point annually.

金融学教授布莱德·巴伯(Brad Barber)和特伦斯·奥丁(Terrance Odean)发现,女人的年投资回报率(经风险因素调整后)比男人平均高于约一个百分点。

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2、

This paper also illustrates risk-adjusted perfermance evaluation method with an actual example, evaluating the trader's perfermance.

本文还通过资金管理者绩效评估的例子说明风险调整绩效评估方法的应用.

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3、

Use no-load mutual funds and measure performance on a risk-adjusted basis.

使用免佣共同基金,考察经过风险调整后的业绩.

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4、

After adjusted with serum indexes. late menarche, early age at first full-team pregnancy, gravidity, parity, number of children, and number of reproductive years may be risk factors of SDH or pre-SDH.

调整血清学指标后,初潮年龄晚、初产年龄早、孕次、产次、子女数、生殖年数是SDH高血压和SDH前期的危险因素。

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5、

The researchers calculated age-and sex-adjusted prevalence of cardiovascular comorbidities and risk factors.

研究者计算年龄及性别校正的心血管并发症患病率及风险因素.

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6、

Risk management seeks to maximise risk-adjusted rates of return on equity; often, in the process, underused capital is considered "waste".

风险管理旨在实现经风险因素调整后的股本回报率最大化;通常在这一过程中,未得到充分利用的资本被视为“浪费”。

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7、

Even with nominal interest rates so low, deflation has given investors a pretty good risk-adjusted return.

即使名义利率现在如此之低, 通缩使得投资者们有不错的风险调整回报.

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8、

Firms generally use the same risk-adjusted rate to discount each of these cash flows.

企业通常运用相同的风险调整后贴现率来贴现每一期的现金流.

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9、

A risk-adjusted study of outcome and resource utilization for congenital diaphragmatic hernia

先天性膈疝预后和资源利用的风险校正研究

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10、

If you're talking about risk-adjusted return, exclusion's important.

要是你谈的是调整参数的回报, 那破例环境是重要的.

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11、

Global markets are interrelated and money is constantly seeking the best risk-adjusted rates of return.

全球市场是相互关联的,而现金总是在不断寻找经风险调整后的最佳收益率.

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12、

Risk-adjusted returns are attractive and can be accessed by investors in a variety of ways.

风险调整报酬很是诱人,投资者们可以通过各种途径实现这种回报.

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13、

Secondly, the risk-adjusted discount rate is determined with the capital asset pricing model.

其次, 提出采用资本资产定价模型,确定发行证券的风险收益贴现率.

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14、

There are essentially 2 theoretical explanations to the indisputable fact that the market performance of a value stock is superior to a growth stock: the Over-Reaction Hypothesis on the basis Behavioral Finace, and the Risk-Adjusted Hypothesis on the basis of Standard Finance.

对于价值股的市场表现优于成长股这一不争的事实,目前的理论解释主要有行为金融的过度反应假说与标准金融的风险改变假说。

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15、

It's formed the risk measurement model based on BSV ( Barberis-Shleifer-Vishny) ideology, by which the traditional behavioral portfolio theory is adjusted.

基于BSV(Barberis-Shleifer-Vishny)思想建立了一种风险度量模型,据此调整了传统的行为证券组合理论;

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