On the aboue assumption, this paper studies reservation value setting and draws conclusions that reservation value has no pertinence with the expected number of bidders while the expected number of bidders affect expected revenue of the auctioneer.
在Friedman对投标人数所作的服从Poisson分布假定的基础上,研究了招标活动中招标商对最优保留值的设置问题,得出了最优保留值的设置与参与投标的期望人数无关以及招标商的期望收益受参与投标的期望人数影响的结论,同时给出了最优保留值的设置公式,从而给招标机制的设计提出了一种更接近实际情况的方法。
Maximization of expected revenue is the only decision objective in that model.
Frideman模型是招标投标领域的重要模型之一,该模型把期望收益最大化作为唯一决策目标。
Aiming at the phenomenon of jump bidding in multi-unit auctions which may change the expected revenue of auctioneer and bidders,the paper studies effect of revenue of two-unit auction based on jump bidding.
针对拍卖中存在的跳跃投标现象,且跳跃投标对可能改变拍卖双方期望收益情况,以基于跳跃出价的两物品增价拍卖为例,研究了跳跃出价对投标方收益效应,计算了跳跃出价均衡下的投标方期望收益,并在同不存在跳跃出价进行比较的基础上,给出了投标方希望通过跳跃出价改善其期望收益的一般条件。
The study of the relations between option income and the price of option target assets;
期权收益与期权标的资产价格关系的研究
By analyzing the consistency of the fuzzy probability assessment over the state set and using an effective probability distribution, a method for obtaining the expected return and risk of investment combination strategy in the face of fuzzy state probability is presented.
通过对状态集合上模糊概率评价的一致性进行分析,运用与模糊概率评价相对应的一个有效概率分布,给出了模糊状态概率下组合投资策略的期望收益率和风险的表示方法,在此基础上建立了组合投资的多目标决策模型,并给出了其求解过程。
This paper proposes an expected return model for linear bilevel problems with uncertain reaction from follower.
对此类问题 ,本文通过引入领导者对追随者合作程度的期望系数 ,提出期望收益模型 。
The expected revenue for seller will be made better off,by introducing a withdrawal right when there is a state in which the object gives dis-utility to the bidders.
当存在拍卖品给投标人带来负的或较低效用的情况时,通过引进有撤销权拍卖,可改善拍卖方的预期收益;而当拍卖品给投标人带来较高效用时,拍卖方的预期收益在不采用撤销权的拍卖中更高,拍卖人就没有兴趣采用有撤销权的拍卖方式。
In addition, the expected revenue is studied if the valuation is drawn from the uniform distribution.
提出多个相同物品(如车辆牌照)同时密封拍卖的模型,给出对称均衡竞标策略;证明了该拍卖方式与第一价格密封连续拍卖产生相同的预期收益;对估价为均匀分布的拍卖预期收益进行了研究。
We make the empirical research into the influence of expected revenue on the demand for education at different levels on the basis of the figures of households in the cities and towns given by the National Statistics Bureau in 2000.
关于不同级别的教育预期收益的差异对不同级别教育需求的影响研究,我们是以2000年国家统计局城镇住户调查数据为基础进行实证研究的。
Starting with the characters of technical innovation,such as high risk,high income and income time lag,this paper analyzed the property and faced questions of every stages of the income cycle of technical innovation.
从技术创新的高风险、高收益及收益时滞性等特征出发,对技术创新收益周期各阶段的性质及面临的问题进行分析,并从收益周期的视角对技术创新各阶段中各参与者实行有效的激励方式,并根据企业技术创新连续性的特征,推导出促进企业技术创新的总体激励机制。
The Consistency Condition of Decision for Maximum Expected Profit And Minimal Expected Loss;
最大期望收益与最小期望损失决策一致性条件
Behavioral Finance:Perceived Risk and Perceived Expected Return;
行为金融:认知风险与认知期望收益
Risk Measure Method Expect Return under Heavy-Tail Distribution
重尾分布下的期望收益风险度量方法
Economical evaluation model of pre-studying technical projects in production engineering plan and its application;
采油工程预研项目期望收益模型及应用
Analysis and application of the determinants of expected stock returns;
股票期望收益率决定因子分析及应用研究
An Expected Return Model and Algorithm for A kind of Price Control Problem;
一类价格控制问题的期望收益模型及算法
Empirical research of expected stock return:CAPM & Fama-French models;
股票期望收益率估计的单因素与三因素模型
Behavioral Finance: Overconfidence and Mixed Expected Earning Model;
行为金融:过度自信与混合期望收益模型
A NOVEL DECISION-MAKING MODEL OF ELECTRICITY SUPPLIER BIDDING BASED ON EXTENDED EXPECTED REWARD;
基于扩展期望收益的发电商竞标决策模型
An expected-return model for linear bilevel problems with uncertain reaction and its solution procedure;
线性二层决策问题的期望收益模型及算法
Parallel Movement of Effective Frontier in Expected Portfolio Return;
证券期望收益率同值变动时有效边界平移分析
Limits of "Expected Return-Variance" Principle under Framing of Behavioral Finance;
行为金融框架下“期望收益-方差”投资原理的局限性
It may be that they expect strong earnings in the future.
或许是他们期望未来会获得丰厚收益。
YTM [yield to maturity]
全期收益,到期收益[
Maximizing the Expectant Benefits and Graduates Over-expectation of Employment;
预期收益最大化与大学生就业期望偏高
THE DISCOUNTED PENALTY FUNCTION OF A RISK MODEL WITH RETURN ON INVESTMENTS;
一类带投资收益风险模型的罚金折现期望
Robust Model with Unreliable Estimates of Expected Returns and Residual Returns;
期望和残差收益估计不可靠的鲁棒模型
statement of current earnings and retained earnings
本期收益及留存收益表