1)return model收益模型
1.Then,an operator return model is presented,which can be used to verify the effectiveness of tariff packages designed on the basis of data mining.然后,提出了运营商收益模型,可用来验证基于数据挖掘技术的资费套餐的有效性。
英文短句/例句
1.The Study of the Education Yield of the Rural Areas Based on the Model of Mincer基于明瑟收益模型的西部农村教育收益率研究
2.Bayes Analysis of Continuous-Time Assets Return Models;连续时间资产收益模型的贝叶斯分析
3.Pareto Improvement to Return Model in BOT Project;对BOT项目收益模型的帕累托改进
4.Study on Comparison between the Model of Income Methods of Mining Rights and Assets Appraisal矿业权评估收益法与资产评估收益法模型比较
5.Model for portfolio selection with fuzzy return rates带有模糊收益率的投资组合选择模型
6.Comprehensive economic benefit model of transformer update considering risk return计及风险收益的变压器更新综合经济效益模型
7.Revenue Sharing Contract in Multiple Period Supply Chain;多级供应链的收益共享契约模型研究
8.Model of Perceived Return Estimation and Design for Estimation System;投资者认知收益度量模型及系统设计
9.Research on Profit Maximization Model of Commercial Bank Treasury;商业银行资金收益最大化模型的研究
10.On Excess Returns of Hedge Funds Based on Six-factor Model;基于六因素模型的对冲基金收益研究
11.On Measuring Volatility of Asset Returns in KMV Model;KMV模型中资产收益波动率的确定
12.Research on structural change of continuous time asset return model;连续时间资产收益变结构模型的研究
13.Research of VEC Model of Chinese Plain Cost-Effectiveness;中国粮食成本收益的VEC模型研究
14.Measuring Model of Private Benefits of Control:Analysis and Application;控制权私人收益计量模型:剖析与应用
15.Study on VMI Model Based on Revenus-Sharing Contract;基于收益分享契约的VMI模型研究
16.Analysis of ARCH-type Models on the Volatility of Share Yield in Chinese Stock Market;中国股市收益波动性的ARCH族模型分析
17.Study on ARFIMA-FIGARCH Model of Return and Volatility Processes in Chinese Stock Market;中国股市收益及波动的ARFIMA-FIGARCH模型研究
18.An Analysis on Corruption and its Control Based on "Cost-income" Model;基于“成本-收益”模型的腐败分析与抑制
相关短句/例句
income allocation model收益分配模型
3)residual income model剩余收益模型
1.The residual income model is used to evaluate China s stock market at the end of each year in the period of 1992~2002.借助剩余收益模型测定了我国股票市场1992年至2002年历年年末的市场价值基础,并探讨了股票市场价格泡沫问题。
2.Based on the Residual Income Model, which is the most popular intrinsic value measure model in the field of finance and accounting in the United States over the past decade, and also wel.基于近十年来美国财务学、会计学界普遍认可并在理论界发展迅速的剩余收益模型,推导出相对泡沫测度模型,衡量股票市场总市值中的内含泡沫比例,即相对泡沫值。
3.The holoscopic stock investment value appraisal theory and the model research, along with Ohlson in 1990s proposed the residual income model, accountant report form data and .纵观股票投资价值评估理论与模型的研究,随着Ohlson在20世纪90年代提出剩余收益模型,将会计报表数据与公司股票投资价值相联系,标志着会计收益已经替代股利,成为决定股票投资价值的核心内容。
4)income-sharing model收益分享模型
5)cost-effectiveness model成本-收益模型
1.With employing two kinds of cost-effectiveness models with regard to corresponding farmer,this paper elaborated factors restricting rural land circulation,including rural land property,rural land market,shift of rural labor force,and agriculture management,ect.通过引用转出、转入土地两类农户各自的成本-收益模型,分析农村土地产权、农村土地市场、农村劳动力转移、农业经营等方面制约农村土地流转的原因,应实施明晰土地产权、加快农村土地市场建设、改革与土地流转相关的一些制度、完善农村社会化服务体系等促进土地流转的措施。
6)economical evaluation model期望收益模型
延伸阅读
信息获取的收益模型信息的获取可以增加经济行为的收益.市场中的每个经济主体都希望其决策行为的效用最大化.为了使问题简化,设效用最大化的期望获利水平为,否则,期望获利水平将为零。假定没有获取信息之前,能够实现效用最大化的概率为 ,获取信息之后,能够实现效用最大化的概率是 ,显然>.又假设获取信息的成本为,那么,获取信息之前的期望收益为,获取信息之后的期望收益为,只要 (5.3) 经济主体将愿意支付 来获取信息,这就是信息获取的收益模型。