Risk-adjusted-return and its application in investment decision ——a complement for mean-variance decision rule;
风险调整收益及其在投资决策中的应用——对均值—方差决策准则一点补充
Measurement and Positive Study of Funds Risk-Adjusted Return;
我国基金风险调整后收益的测量和实证研究
adjusted income method of preparing cash budget
编制现金预算收益调整法
Yield to Adjusted Minimum Maturity
调整后最早到期日收益率
Educational structure adjustment with distributional justice as a goal;
收益分配公平目标下的教育结构调整
Net Income Adjustments to Reconcile Net Income to Net Cash Flows from Operating Activities
净收益将净收益转化为经营活动的现金流量需要调整的项目:
Corrections to the beginning balance of Retained Earnings fat errors of an earlier period are called prior-period adjustments.
调整前期差错对本期期初留存收益的影响称为前期调整。
Adjust strategy structure,develop rural economy and raise peasants income
调整战略结构 发展农村经济 增加农民收益
The Performance Evaluation Concerning the Open-end Funds Based on the Risk-adjusted Returns;
基于风险调整收益法的开放式基金业绩评价
Measurement and Positive Study of Funds Risk-Adjusted Return;
我国基金风险调整后收益的测量和实证研究
On Risk-adjusted Performance Assessment of Open-end Funds;
基于风险调整收益的开放式基金业绩评价
Adjust strategy structure,develop rural economy and raise peasants income;
调整战略结构 发展农村经济 增加农民收益
OPTIMAL POLICY OF REVISE THE VALUE COEFFICIENT TO MAKE TOTAL REVENUE INCREASE FIXED VALUE;
调整价值系数使总收益增加预定值的最优策略
The disclosure begins with the net income and lists all the adjustments necessary to convert the net income to the net cash flows from operating activities.
其起点是净收益,然后列示所有必要的调整项目,最终将净收益转化为经营活动的现金净流量。
But in indirect method, the net cash flows is calculated by adjusting noncash revenues and noncash expenses on the basis of net income
但是,在间接法下,现金净流量是在净收益的基础上调整非现金性的收益和费用计算出来的。
Disparities of Institutional Benefit and Developing Benefit Affecting Land Conversion and its Inspiration to the Policy Adjustment;
制度收益与发展收益对农地非农化进程的影响差异及其对政策调整的启示
In the indirect method, the cash flows from operating activities are disclosed by adjusting the net income.
在间接法下,经营活动的现金流量是通过调整净收益来披露的。
The Empirical Analysis about an Effect of the Interest Rate Changed--The Industries Rate of Return Per Day and Volatile in China Stock Market;
利率调整对我国股市行业日收益率及波动影响的实证研究
Optimal portfolio selection based on maximizing risk-adjusted return on capital;
基于风险调整后资本收益率的最优资产投资组合模型
Long-Term Impact,Price Adjustment and the Cross-Autocorrelations between Stock Portfolio Returns;
长期冲击、价格调整与股票组合收益的互相关关系