| 1. | So , it ' s virtually risk - free for you 所以,事实上对您而言,是完全没有风险的。 |
| 2. | So , it ' s virtually risk - free for you 事实上对您而言,是完全没有风险的。 |
| 3. | On multi - factor portfolio model with holding of risk - free assets allowed 允许持有无风险资产多因素投资组合模型研究 |
| 4. | Risk - free interest rate 无风险利率 |
| 5. | It ' ll save you a lot of money and virtually it ' s risk - free foryou 这可以为您节省很多钱而且实际上对你而言,是完全没有风险的。 |
| 6. | Allocation of invested funds between risk - free assets and the risky portfolio 是指投资基金在无风险资产与有风险资产组合之间的配置决策。 |
| 7. | 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。 |
| 8. | In following such a pricing approach , the risk - free rate does not need to be known 解决了如何在实际测度及不知无风险利率的情况下对一般(可能不可交易)资产进行定价的问题。 |
| 9. | 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。 |