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- What is the net asset value per-share? 每股凈資產(chǎn)是多少?
- The stock’s valuation is undemanding at a 29% discount to its 2009E net asset value (NAV). 目前股價(jià)較09 年預測凈資產(chǎn)值折讓29%25,估值不貴。
- One Hong Kong brokerage estimated earlier this year that with Qianmen, Soho's net asset value would be boosted 50%. 該公司公布上半年虧損2,100萬(wàn)美元,而去年同期該公司盈利920萬(wàn)美元。
- Brokers annualize a yield on an investment by multiplying weekly dividends by 52 and dividing the answer by the net asset value per share. 交易商們用每周股利乘以五十二再除以每股的凈資產(chǎn)值算出每年的投資收入
- In the case of a net asset value tender, the circular or advertisement must set out the basis on which the tender price will be calculated. 如果是就凈資產(chǎn)值招標,通告或廣告中必須寫(xiě)明招標價(jià)格計算的基礎。
- For mutual funds, price is the net asset valuei(NAV). 對于互惠基金,價(jià)格相當于資產(chǎn)凈值。
- It is a company that meets most of my requirements, although I have not studied the prospectus in detail, both profit potential and net asset value. 這公司符合我的大部份要求,盡管我還未詳細研究其招股書(shū),看看盈利潛力及資產(chǎn)凈值的狀況如何。
- Article 28 The securities investment trust enterprise shall calculate the net asset value of the securities investment trust fund each business day. 第28條證券投資信讬事業(yè)應于每一營(yíng)業(yè)日計算證券投資信讬基金之凈資產(chǎn)價(jià)值。
- Fund performance is calculated on the basis of NAV (net asset value)-to-NAV in Hong Kong Dollar, and is net of all charges. 基金表現是以港元的每單位資產淨值價計算,並已扣除所有收費。
- These funds have a dollar-based net asset value (NAV) and investors could opt to have the currency risk hedged by the fund, he said. 這些基金的資產(chǎn)凈值是以美元來(lái)計算,這樣投資者就能避免外匯風(fēng)險。
- Suppose the XYZ Fund has a net asset value (NAV) of $10 at the beginning of 1995.During the year, distributions of $2 per unit are made to investors. 假定XYZ基金的單位資產(chǎn)凈值在1995年初為10美圓,在該年中每單位向投資者分配2美圓。
- Do you know the total value of the net assets of the corporation? 你知道該公司的資產(chǎn)總額嗎?
- At present, illiquid investors trying to wriggle out of uncalled commitments have to sell their interest in investments already made at a punitive haircut to net asset value. 目前,缺乏流動(dòng)資金的投資者如果要退出未繳承諾,就不得不以相對于資產(chǎn)凈值的大幅折扣,出售自己在已經(jīng)作出的投資中的權益。
- First Shanghai refers to the sale proceeds will be used as additional working capital, and bring with them higher than the net asset value of about 3,320 million profit. 第一上海指,出售所得款項將用做額外營(yíng)運資金,并為公司帶來(lái)高于資產(chǎn)凈值約3,320萬(wàn)元的盈利。
- The enterprise's net assets is 24820000. 企業(yè)固定資產(chǎn)原值4512萬(wàn)元,凈值2482萬(wàn)元。
- What is the earning rate the net assets? 凈資產(chǎn)收益率是多少?
- Transferee price premium of 31.2% of net assets. 受讓價(jià)格比凈資產(chǎn)溢價(jià)31.;2%25。
- Is not a listed company is likely to be a net asset prices or slightly higher prices. 不是上市公司,很可能只是一個(gè)凈資產(chǎn)的價(jià)格或者稍微高一點(diǎn)的價(jià)格。
- Mutual Funds 101: What a Mutual Fund Is teaches you that a mutual fund's NAV is its net asset value, or its price per share.At first blush, mutual fund NAVs seem just like stock prices. 一個(gè)基金是這樣計算NAV的:當前投資組合中,所有股票,債券,和其他有價(jià)證券(包括現金)之和,減去費用,然后除基金的總份數。
- Open-end fund shareholders buy the shares at net asset value and can redeem them at any time at the prevailing market price, which may be higher or lower than the price at which the investor bought. 開(kāi)放式基金投資者按基金凈值購買(mǎi)基金單位,并可隨時(shí)按照現行市場(chǎng)價(jià)進(jìn)行贖回,市場(chǎng)價(jià)可能高于或低于投資者當時(shí)購買(mǎi)基金單位的價(jià)格。