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bear and bull相关的网络例句

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与 bear and bull 相关的网络例句 [注:此内容来源于网络,仅供参考]

The bull camp will point to a move above the 50 day moving average of $1,127 in the June gold contract as a positive development, while the bear camp is hopeful that slack US housing data will serve to lift the Dollar and in turn dent optimism toward the gold market.

牛市阵营即看多者,指出冲破6月黄金合约的1,127美元的50日均线作为一个有利的突破,同时熊市阵营即看空者的希望在于,下滑的美国房屋数据将会提升美元指数,并且反过来削弱对黄金市场的乐观情绪。

At retailer Fortunoff, a salesperson says traders have been known to buy two pairs of bull-bear cufflinks and throw out the bears right at the counter.

在零售商Fortunoff,一名销售人员说,大家都知道交易员会买两对牛-熊袖扣,然后在柜台扔掉熊。

In addition, this thesis analyzes the phenomenon of overconfidence based on the data of purchase margin and furthermore explores different psychological effects of overconfidence among bull-bear periods.

本研究以2000年至2008年为样本期间,探讨台湾股票市场星期效应是否存在。所谓过度自信乃指人们过度相信自己的能力,高估私有资讯的正确程度。

Uncle Frank was a total bear on the world, and Uncle John was a total bull.

弗兰克爷爷是个彻头彻尾的悲观主义者,而约翰爷爷则以乐观的眼光看待一切。

"This time brokerage finally out of the nightmare of the past cycle of frequent, that is, 'bull market to stir up trouble, bear the blame on others, saddened by the middle of mid-off, better than a year into great trouble and destroyed a number of market broker '."

"这一次券商终于走出了频繁,这是过去的循环噩梦,'牛市兴风作浪,承担在别人身上,由中间难过年年过,比一大问题,并摧毁了一年的市场经纪人'。"

Suppose the fluctuation of security market could be anticipated, the CPPI tactics has the best performance in the bull market, the TIPI and CM tactics is noneffective; but in the bear market, the CPPI and TIPI tactics is effective, the CM tactics is noneffective.

假设股市波动是可预期的,在股市处于单调多头市场里时,CPPI策略是有效的最佳动态PI策略,CM策略,TIPI策略是无效的;而在单调空头市场里CPPI策略与TIPI策略是有效的,CM策略是无效的。3。

The assumption of this study is bull market and bear market. On the basis of these two portfolios, we give those two different weights, and make use of traditional Sharpe Index to compare the portfolio performance.

本研究假设仅存在多头市场与空头市场这两状态,在这两状态下的投资组合分别给予不同的权重,最后利用传统的夏普指标来比较投资组合的绩效。

Hedge fund TCI, and why the bull market in the bear market to buy high-sell low?

对冲基金TCI,为什么在熊市牛市买高卖低?

Bear markets seem to be divided into three phases: the first being the abandonment of hopes upon which the final uprush of the preceding bull market was predicted; the second, the reflection of decreased earnings power and reduction of dividends, and the third representing distressed liquidation of securities which must be sold to meet living expenses.

大概意思为熊市的三个阶段:第一阶段,打破前期对牛市顶峰预测的希望;第二阶段,"下跌"显示在公司业绩上,具体表现为盈利能力和分红的减小。第三阶段,表现为社会赖以支撑资金周转的媒介的流通能力、借贷能力渐弱。

The test conclusions indicates that the long-term equilibrium relationship between SZZS series and its optimal series is not significant, but the short-term dynamic relationship is comparatively significant; since 2007, the ratio of variance to its mean is more than 0.4, which implies that SZZS is deviated from its optimal level to a great extent, which is the basic feature of bull market or bear market, and this also verify the robustness of these conclusions.

实证结论表明,上证指数序列与其均值序列的长期均衡关系不显著,但短期的动态关系比较明显;从2007年开始,上海股市的标准差/均值相当大,超过了0.4,这意味着上证指数偏离其均值的程度较大,这是牛、熊市的基本特征,这也印证了本文结论的强健性。

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