貝塔波的意思、翻譯和例句

是什麼意思

「貝塔波」是指一種波動或變化的模式,通常用於金融市場中,特別是在股票或資產的風險和回報分析中。它是一種衡量資產相對於市場整體波動性的指標。貝塔值(Beta)可以用來評估一項投資的風險程度,貝塔值大於1表示該資產的波動性高於市場,而小於1則表示波動性低於市場。

依照不同程度的英文解釋

  1. A measure of how much something moves compared to something else.
  2. A way to see if an investment is risky.
  3. A number that shows how much a stock goes up and down.
  4. A metric indicating how sensitive an asset is to market movements.
  5. A value that reflects the volatility of an asset compared to the overall market.
  6. A statistical measure used to determine the risk associated with a particular investment.
  7. An indicator of the correlation between an asset's returns and the market's returns.
  8. A coefficient that quantifies the relationship between an individual asset's price movements and the broader market.
  9. A financial metric used to evaluate the expected return of an asset based on its systematic risk.
  10. A ratio that describes how much an investment's price will change in relation to changes in the market.

相關英文單字或片語的差別與用法

1:Beta

用法:

在金融中,貝塔指標用於量化某項資產相對於市場的風險程度。它是資產價格波動性的一個度量,並且通常用來幫助投資者評估潛在的回報與風險之間的關係。貝塔值的計算通常基於過去的價格數據,並且可以幫助投資者做出更明智的決策。

例句及翻譯:

例句 1:

這支股票的貝塔值為1.5,表示它的波動性高於市場。

This stock has a beta of 1.5, indicating it is more volatile than the market.

例句 2:

投資者通常會根據貝塔值來選擇他們的投資組合。

Investors often choose their portfolios based on beta values.

例句 3:

較高的貝塔值通常意味著潛在的回報也較高。

A higher beta usually means a higher potential return.

2:Beta coefficient

用法:

貝塔係數是用來衡量一項投資的系統性風險的指標。它幫助投資者理解該資產相對於市場的風險,並且在資本資產定價模型(CAPM)中扮演重要角色。這個係數可以幫助投資者預測資產的未來回報。

例句及翻譯:

例句 1:

貝塔係數越高,代表該資產的風險越大。

The higher the beta coefficient, the greater the risk associated with the asset.

例句 2:

分析師使用貝塔係數來評估投資的吸引力。

Analysts use the beta coefficient to assess the attractiveness of an investment.

例句 3:

這個基金的貝塔係數顯示它對市場變動的敏感度。

The fund's beta coefficient indicates its sensitivity to market fluctuations.

3:Volatility measure

用法:

波動性測量是用來評估資產價格變化程度的指標。它可以幫助投資者了解市場的不確定性,並且在制定投資策略時提供參考。波動性高的資產通常意味著風險較高,但也可能帶來更高的回報。

例句及翻譯:

例句 1:

這種波動性測量對於風險管理至關重要。

This volatility measure is crucial for risk management.

例句 2:

投資者應考慮波動性測量來制定他們的投資計劃。

Investors should consider volatility measures when formulating their investment plans.

例句 3:

高波動性的資產可能在短期內帶來高回報。

Assets with high volatility may offer high returns in the short term.

4:Risk measure

用法:

風險測量是用來評估投資潛在風險的工具,幫助投資者判斷是否值得投入資本。這些測量可以包括貝塔值、標準差等,提供對於資產表現的深入見解。

例句及翻譯:

例句 1:

這個風險測量工具幫助投資者做出更明智的決策。

This risk measure tool helps investors make more informed decisions.

例句 2:

投資者應該使用風險測量來評估他們的投資組合。

Investors should use risk measures to evaluate their portfolios.

例句 3:

風險測量是投資分析中不可或缺的一部分。

Risk measures are an essential part of investment analysis.