2) return of arbitrage portfolio

套利组合收益率
4) portfolio yield

组合收益
1.
A portfolio yield and portfolio risk measuring model based on the credit risk migration

基于信用风险迁移的组合收益与组合风险计量模型
5) compound yield rate

复合收益率
1.
Based on the compound yield rate and daily turnover from the composite index of Shanghai stock market between 2005 and 2006,the GARCH model reveals the impact of daily turnover on the volatility of compound yield rate.
本文根据上海证券市场上证综合指数2005年1月1日到2006年1月1日的复合收益率和日成交量,用GARCH模型描述日成交量对复合收益率的波动性影响。
6) reasonable rate of return

合理收益率
1.
To resolve the problem,the concept of reasonable rate of return was presented as a reference index of reasonable return of commercial highway projects,and corresponding checking modes were analyzed.
针对经营性公路项目的合理回报目前法律上没有明确规定,社会上各方认识不统一的问题,研究提出了经营性公路合理回报的衡量指标——合理收益率,明确了合理收益率的考核模式,并对确定的考核模式,给出了测算合理收益率区间上限和下限的具体方法。
补充资料:财务内部收益率
财务内部收益率
financial internal rate of return,FIRR
ea一wu ne,bu shouy{IU财务内部收益率return,FIRR)(finaneial internal rateof见电力项目对务评价。
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
参考词条