risk-adjusted rate of return meaning in English
风险调整收益率
经风险调整的收益率
Examples
- Now seems to be a good opportunity to liberalise the capital account further and allow the large pool of domestic savings to seek higher risk - adjusted rates of return overseas . so no celebration , and we remain vigilant
目前似乎是内地进一步开放资本帐的好时机,让大量内地储蓄走出去,寻求回报较高但风险也可能较大的海外投资机会。 - Third , the author analyzes the method on rate of return , method on risk - adjusted rate of return , multifactor models , market timing model , and point out applicable range and defect on methods of above all
再次,分析归纳了基金评价的收益率法、风险调整收益率法、多因素评价模型、基金的择时选股模型,并明确了各种方法的适用性及缺陷。 - Basically , the difficulty in assessing the risks of different financial instruments in different jurisdictions , and of the jurisdictions themselves , makes it difficult to calculate with confidence what the risk - adjusted rates of return are
由于评估不同地区不同金融工具的风险及这些地区本身的风险相当困难,要准确地计算得出按风险调整的投资回报,就更加困难。尽管多个负有维持金融稳定责任的国际金融组织 - Charpter4 : first , the author puts forward the methods and principles of the funds evaluation , and chooses ten funds to analyze , evaluation periods includes from june 2000 to february 2002 . the ways to be chosen are methods on rate of return and risk - adjusted rate of return
第四章首先,提出本文基金评价的方法和原则,选择我国的十只基金进行了实证分析,评价期间为2000年6月至2001年2月,采用的方法是:收益率法和风险调整的收益率法。