| 1. | Nobody wants to dwell on this possibility , but it ' s there 因为1987 - 1988年加拿大权益基金平均收益率为10 %或7倍多。 |
| 2. | Average rate of return 平均收益率 |
| 3. | A compound average annual return of 7 . 1 per cent , which is a little over two percentage points better than the average return for the global category 综合平均年收益率为7 . 1 % ,要比全球该项目的平均收益率高2个多点。 |
| 4. | The average profit rate of the general strategy began to drop in the forth year , which lead to the rise of the risk of holding the same share for long term in china 综合型投资策略的平均收益率在第四年开始下降,说明在中国股票市场长期持有同一支股票风险偏大。 |
| 5. | 25 sec . the requirement should be that the depositary either has or participates in a safe settlement system subject to oversight by the regulatory authority . with regard to art 同一年, reimganum 1981也发现了公司规模最小的普通股票的平均收益率要比根据capm模型预测的理论收益率高出18 % 。 |
| 6. | The arithmetic mean expectation model is not able to measure the income of portfolio investment correctly as bonds are a kind of successive investment , but the geometric average expectation can measure the income of successive investment 摘要由于证券是一种连续投资,算术平均收益率并不能完全反映投资的收益情况,而几何平均期望收益率才能反映连续投资的实际收益。 |
| 7. | In addition , since the underlying benchmark index will have a monthly rebalancing procedure to include new issuances and exclude bonds approaching maturity , the average yield of the fund will adjust towards the prevailing market yields over time 同时,相关基准指数会每月调整一次,加入新发行的债券,以及剔除快将到期的债券,这样基金的平均收益率便会逐步调整至贴近当前市场收益率的水平。 |
| 8. | Exchange fund notes open to retail investors will be allotted to successful non - competitive bids at the lowest price , i . e . the highest yield , accepted at the competitive - bid tenders , rather than the average accepted price or average accepted yield 供一般投资者认购的外汇基金债券,将会按照竞争性投标的获接纳最低价即最高收益率,而不是获接纳平均价即获接纳的平均收益率,配发予获接纳的非竞争性投标。 |
| 9. | The investment of exponential fund adopts the investment strategy that plans to add up to target index yield , the component of index of target of dispersive invest in , the yield that stock of do one ' s best sets plans to add up to the average yield of the capital market that place of this target index represents 指数基金的投资采取拟合目标指数收益率的投资策略,分散投资于目标指数的成份股,力求股票组合的收益率拟合该目标指数所代表的资本市场的平均收益率。 |
| 10. | Thirdly , using thirty ( 30 ) samples stocks of shanghai thirty ( 30 ) indexes as the combination , the investment portfolio scale and the disperser risk degree , etc . , were examined , the strategy of investment portfolio in shanghai stock market was also put forward . the results indicate that : 1 ) the systematic risk proportion in the investment risk has obviously dropped , but the non - systematic risk proportion obviously has gone up . 2 ) the stock systematic risk is one but not the only fact affecting the stock income rate 结果表明:系统风险在投资风险中所占比重已明显下降,非系统风险所占比重明显上升;股票的系统风险是影响股票收益的一个因素,但不是影响股票收益率的唯一因素,非系统风险和总风险是影响股票预期收益的重要因素;股票的平均收益率与股票的系统风险存在正相关关系;在样本时限内,对上海股市进行投资组合确实能有效地降低风险,上海股市适度的组合规模为15 20只。 |