asset allocation造句
例句与造句
- Better asset allocation can happen only if tokyo ' s competitiveness as a financial centre is boosted , attracting international talent
只有当东京作为金融中心的地位日益得到稳固,吸引到更多的外资,它的产业配置结构才会得到优化。 - The group will focus on asset allocation diversification and the capitalisation on cross - border investment opportunities to match long - term liabilities
这一组会集中讨论资产分配/分散投资及如何把握跨境投资的机遇以配合远期债项。 - We compare index investing , asset allocation , style investing and momentum investing of funds between two countries and find some similarities and difference
我们对证券基金的指数化投资、资产配置、风格投资和动量投资了比较。 - In view of these developments , a review of the investment objectives and asset allocation strategy of the exchange fund was necessary and timely
鉴于这些最新发展,对外汇基金的投资目标和资产分配策略作出检讨实属必要和切合时宜。 - In view of these developments , a review of the investment objectives and asset allocation strategy of the exchange fund was necessary and timely
鉴于这些最新发展,对外汇基金的投资目标和资产分配策略作出检讨实属必要和切合时宜。 - It's difficult to find asset allocation in a sentence. 用asset allocation造句挺难的
- The self - enforcing mechanism , the theory of assets allocation and access theory provide successfully the solution to resolving the problem
不完全契约框架下的自我履约机制、资产配置理论和进入权理论为较好地解决这一问题提供了答案。 - On the basis of the classical mean - variance model , the article proposes the asset allocation model with value - at - risk constraint and transaction cost
摘要在经典均值方差模型的基础上,提出了存在交易费用时基于风险价值约束的资产配置模型。 - We deviate from the benchmark portfolio in asset allocation , hoping to achieve better results than sticking to the benchmark allocation meaning essentially doing nothing
我们容许外汇基金的资产分配偏离基准投资组合,是希望能够取得更高回报。 - The dynamic asset allocation model under the downside - risk - averse framework is more reasonable and scientific and thus is more applicable in practice
作者指出,下偏风险厌恶模型架下的动态资产配置模型在理论上具有更强的科学性和合理性,在实际应用上具有诸多优越之处。 - Global strategic wealth management , asset allocation , and risk hedging , asset prices , wealth effect bubble early warning , introducing thousands strategic investment simulators predicted 3 mon
国际资本市场资产价格模拟,呆帐与发挥回收与证卷化策略与风险管理研讨会 - Thus , the underlying risk preferences of the plan participants would drive the observed association between the relative number of equity funds and asset allocation , the author notes
如果是这样,那么计划参加者对风险的偏好才是影响股权基金比例和资产分配两者间关系的根本原因。 - The securities firm shall adopt appropriate working rules , and closely monitor , evaluate , and report to the customer any changes in a customer ? s asset allocation and investment portfolio
七)证券商应订定适当之作业办法,密切注意评估客户资产配置及投资组合之变化,并向客户报告。