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单词 Financial economist
释义

Financial economist

原声例句
TED演讲(视频版)双语精选

Then people like me, financial economists, come around and they say, " What is the value of what you have? "

然后第二步就是像我这样的金融经济学家过来说道:“你持有的值多少钱?”

中文百科

金融经济学 Financial economics

(重定向自Financial economist)
Modigliani–Miller Proposition II with risky debt. As leverage (D/E) increases, the WACC (k0) stays constant.
Efficient Frontier. The hyperbola is sometimes referred to as the 'Markowitz Bullet', and its upward sloped portion is the efficient frontier if no risk-free asset is available. With a risk-free asset, the straight line is the efficient frontier. The graphic displays the CAL, Capital allocation line, formed when the risky asset is a single-asset rather than the market, in which case the line is the CML.

金融经济学英语:Financial economics)(有人误译为财务经济学)是经济学的分支,主要研究在不确定的环境中,如何跨越时间与空间,配置经济资源。它主要集中在研究货币资产的交易活动,最关心的主题包括,时间、不确定性、选择权以及信息。

英语百科

Financial economics 金融经济学

(重定向自Financial economist)
Modigliani–Miller Proposition II with risky debt. As leverage (D/E) increases, the WACC (k0) stays constant.
Efficient Frontier. The hyperbola is sometimes referred to as the 'Markowitz Bullet', and its upward sloped portion is the efficient frontier if no risk-free asset is available. With a risk-free asset, the straight line is the efficient frontier. The graphic displays the CAL, Capital allocation line, formed when the risky asset is a single-asset rather than the market, in which case the line is the CML.
The Capital market line is the tangent line drawn from the point of the risk-free asset to the feasible region for risky assets. The tangency point M represents the market portfolio. The CML results from the combination of the market portfolio and the risk-free asset (the point L). Addition of leverage (the point R) creates levered portfolios that are also on the CML.

Financial economics is the branch of economics characterized by a "concentration on monetary activities", in which "money of one type or another is likely to appear on both sides of a trade". Its concern is thus the interrelation of financial variables, such as prices, interest rates and shares, as opposed to those concerning the real economy. It has two main areas of focus: asset pricing (or "investment theory") and corporate finance; the first being the perspective of providers of capital and the second of users of capital.

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更新时间:2025/6/23 13:28:50