厌恶风险 meaning in Chinese
risk aversion
Examples
- Risk averse loving neutral
厌恶风险喜爱风险中性风险 - The compliance officer should report directly to the managing directors . art . 12 should be amended to include in the manager s responsibilities , first , marketing and promoting funds and , second , pursuing legal rights on the part of the funds that it manages , subject to the supervision of the independent directors of those funds
期望理论认为投资者对收益的效用函数是凹函数,而对损失的效用函数是凸函数,表现为投资者在投资帐面值损失时更加厌恶风险,而在投资帐面值盈利时,随着收益的增加,其满足程度速度减缓。 - Clearly the probability law of the return for a derivative asset ( associated with the basic risk asset ) depends only on the real probability in distribution of the ( random ) return of the basic risk asset ( this is surely unique ) , nothing related to the artificial risk - neutral probability . do n ' t you think this is un - consistent
但衍生资产回报的概率规律中南大学博士论文摘要显然依赖于基本风险资产回报的概率规律而不是依赖于人为的“风险中性概率分布这就造瞅们腑风险持不同的态度,传统的理论认为“理性”的投资者(或者鹏)是“厌恶风险的” , “偏好风险”是舰。