| 1. | A general pricing model for risk assets 风险资产的一般定价模型 |
| 2. | Minimum risk asset ratio 最低风险资产比率 |
| 3. | This paper develops a general pricing model for risk assets under continuous time 摘要研究了连续时间下风险资产的一般定价模型。 |
| 4. | Risk assets ratio 风险资产比率 |
| 5. | But the other fund could invest in higher risk assets , aimed at maximising returns 不过,另外一项基金可能要投资于风险更高的资产,目标是将收益最大化。 |
| 6. | Chapter 3 discusses the general financial market consist of only one basic risk asset and one risk - free asset 第三章讨论以十的风险资产作为基本资产的市场。 |
| 7. | Markowitz ' s mean - variance model indicates that the optimum risk asset being the market portfolio Markowitz的均值-方差模型表明,投资者的最优风险资产为市场投资组合。 |
| 8. | The first 3 chapters discuss the two basic assets financial market ( one risk asset , and one risk - free asset ) 前三章所讨论的抛都只由叶基本的风险资产,和一个无风险资饰成。 |
| 9. | It defined a system of weighting assets by credit and market lisk to avoid penalizing banks for holding low - risk assets 加强对金融控股公司内部交易监管的同时,建立、健全金融机构的信息披露制度也是十分必要的。 |
| 10. | Article21 an auto financing company shall meet the requirement on the capital to risk assets ratio , and the capital adequacy ratio shall not be less than ten percent 第二十一条汽车金融公司应实行资本总额与风险资产比例控制管理。 |