{"{0} : 1":"{0}：1","{0} rows":"{0}行","{0}. {1} on the horizontal axis; {2} on the vertical axis.":"{0}。横轴为{1}；纵轴为{2}。","{0}%":"{0}%","A sale cannot exceed the shares held at that point.":"卖出数量不能超过当时持有的股份数量。","Absolute return":"绝对回报","Absolute return = total money in − total money out. Its percentage ignores timing. CAGR is shown only when all money out is on the first date and all money in is on the last date, within the CAGR calculator's supported range.":"绝对回报=资金流入总额−资金流出总额。其百分比不考虑资金流入流出的时间。只有当所有资金流出发生在第一个日期、所有资金流入发生在最后一个日期，且在CAGR计算器支持的范围内时，才会显示CAGR。","Account size":"账户规模","Account size (USD)":"账户规模（USD）","Add a remaining position before solving for a new average.":"请先添加剩余持仓，再计算新的平均成本。","Add leg":"添加腿","Added shares":"新增股份","Annual dividend growth (%)":"年度股息增长率（%）","Annual dividend per share":"每股年度股息","Annual dividend yield (%)":"年度股息率（%）","Annual gross income":"年度总收入","Annual income after withholding":"扣缴后的年度收入","Annual share-price growth (%)":"年度股价增长率（%）","Annual yield × starting price":"年度收益率×起始价格","AUD — Australian dollar":"AUD—澳元","Average cost":"平均成本","Average cost of remaining shares":"剩余股份的平均成本","Bear call vertical spread":"熊市看涨期权垂直价差","Bear put vertical spread":"熊市看跌期权垂直价差","Break-even price(s)":"盈亏平衡价格","Bull call vertical spread":"牛市看涨期权垂直价差","Bull put vertical spread":"牛市看跌期权垂直价差","Buy":"买入","Buy {0} shares at the entered price, including the entered fee. Fractional shares are allowed.":"按输入价格买入{0}股，并计入输入的费用。允许买入零股。","Buys and sells in chronological order: side,shares,price,fee":"按时间顺序填写买入和卖出：方向、股份、价格、费用","CAD — Canadian dollar":"CAD—加元","CAGR for endpoint-only flows":"仅端点资金流的CAGR","Call":"看涨期权","Cash flow":"现金流","Cash flows change sign more than once. Multiple rates or no rate may exist; changing the guess can find a different root. The fallback searches for sign-changing roots and is not an exhaustive root catalogue.":"现金流的符号变化超过一次。可能存在多个利率，也可能不存在利率；更改猜测值可能找到不同的根。备用搜索会查找符号变化的根，但并非穷尽所有根。","CHF — Swiss franc":"CHF—瑞士法郎","Combined profit or loss":"合计盈亏","Contract multiplier":"合约乘数","Contracts":"合约数","Covered call":"备兑看涨期权","Cross — enter USD pip value":"交叉盘—输入USD点值","Cumulative realised profit":"累计已实现利润","Currency":"货币","Currency changes formatting only. It does not convert amounts.":"货币只会更改显示格式，不会换算金额。","Currency pair structure":"货币对结构","Date":"日期","Dated cash flows: date,amount CSV":"带日期的现金流：日期、金额CSV","Dividend calculator":"股息计算器","Dividend input":"股息输入","Dividend per share":"每股股息","Download CSV":"下载CSV","Ending shares":"期末股份","Enter 1 to 1000 complete rows using the displayed format.":"请按显示的格式输入1到1000行完整数据。","Enter 1 to 20 call or put legs, positive whole contracts, non-negative strikes and premiums, and a positive multiplier.":"请输入1到20个看涨或看跌期权腿、正整数合约数、非负执行价和权利金，以及正数乘数。","Enter a number":"请输入数字","Enter finite numbers within the supported range.":"请输入支持范围内的有限数值。","Enter positive prices as a list, a price column, or date,price CSV.":"请输入正数价格列表、价格列，或日期、价格CSV。","Enter positive prices, quantities and amounts.":"请输入正数价格、数量和金额。","Entry price":"入场价格","EUR — euro":"EUR—欧元","Expiration payoff only. No Black-Scholes pricing, time value, early exercise, assignment, dividends, fees or margin calculation. Maximum loss is measured over underlying prices from zero upwards; unlimited tails can extend beyond the diagram.":"仅计算到期收益。不进行Black-Scholes定价，也不计算时间价值、提前行权、指派、股息、费用或保证金。最大亏损按标的价格从零开始向上的范围计算；无限延伸部分可能超出图表。","Fee":"费用","Final shares":"最终股份","Final shares plus retained cash":"最终股份加留存现金","Forex inputs and results use a USD account; select USD for matching display. USD-quote pip value = lot units × pip size. USD-base pip value = lot units × pip size ÷ entered quote per USD. For crosses, supply the USD pip value per selected lot. Lots = risk budget ÷ (stop pips × pip value), rounded down to the lot increment.":"外汇输入和结果使用USD账户；请选择USD以匹配显示。USD为计价货币时，点值=手数单位×点大小。USD为基础货币时，点值=手数单位×点大小÷输入的每USD计价货币单位数。对于交叉盘，请提供所选手数对应的USD点值。手数=风险预算÷（止损点数×点值），并向下取整到手数增量。","Forex lots — USD account":"外汇手数—USD账户","GBP — pound sterling":"GBP—英镑","Gross income":"总收入","Include both money out (negative) and money in (positive) on at least two different dates.":"至少在两个不同日期中，同时包含资金流出（负数）和资金流入（正数）。","INR — Indian rupee":"INR—印度卢比","Iron condor (credit)":"铁秃鹰（收取权利金）","JPY — Japanese yen":"JPY—日元","Leg {0}":"第{0}腿","Load strategy preset":"加载策略预设","Long (buy)":"多头（买入）","Long call":"买入看涨期权","Long call profit = (max(price − strike, 0) − premium) × contracts × multiplier. A put uses max(strike − price, 0). Short legs reverse the sign. Add underlying shares × (price − cost).":"买入看涨期权的利润=（max（价格−执行价，0）−权利金）×合约数×乘数。看跌期权使用max（执行价−价格，0）。卖出期权腿的符号相反。再加上标的股份×（价格−成本）。","Long put":"买入看跌期权","Long straddle":"买入跨式组合","Long strangle":"买入宽跨式组合","Lot increment":"手数增量","Lot size":"手数大小","Maximum loss":"最大亏损","Maximum profit":"最大利润","Micro — 1,000 units":"微型—1,000单位","Mini — 10,000 units":"迷你—10,000单位","Net cash flow":"净现金流","Net cash flow by year":"年度净现金流","Net income":"净收入","New purchase fee":"新买入费用","New purchase price":"新买入价格","New shares = (current basis + new fee − target × current shares) ÷ (target − new price).":"新增股份=（当前成本基础+新费用−目标×当前股份）÷（目标−新价格）。","No rate found":"未找到利率","No remaining position":"没有剩余持仓","No XIRR was found from the chosen guess or in the fallback range (above −100% to 100,000,000%).":"在选定的猜测值或备用范围（高于−100%至100,000,000%）内未找到XIRR。","None":"无","Not applicable":"不适用","Opening shares":"期初股份","Option type":"期权类型","Options profit calculator":"期权利润计算器","Pip size in quote currency":"计价货币中的点大小","Pip value per selected lot (USD)":"每个所选手数的点值（USD）","Position size calculator":"仓位大小计算器","Position units":"仓位单位数","Premium per unit":"单位权利金","Presets load editable arithmetic examples. All option legs share one expiration and underlying. Premium is per underlying unit; total premium = premium × contracts × multiplier. Underlying shares are entered separately and do not scale automatically when contracts or multiplier change.":"预设会加载可编辑的算术示例。所有期权腿共用同一到期日和标的。权利金按每个标的单位计算；总权利金=权利金×合约数×乘数。标的股份需单独输入，不会在合约数或乘数变化时自动按比例调整。","Price":"价格","Profit or loss":"利润或亏损","Profit or loss at expiration":"到期时的利润或亏损","Protective put":"保护性看跌期权","Put":"看跌期权","Quote currency units per USD":"每USD对应的计价货币单位数","Realised profit or loss":"已实现利润或亏损","Reinvest net dividends (DRIP)":"再投资净股息（DRIP）","Remaining basis":"剩余成本基础","Remaining cost basis":"剩余成本基础","Remaining shares":"剩余股份","Remove leg":"移除腿","Remove leg {0}":"移除第{0}腿","Results":"结果","Retained cash":"留存现金","Return on total money out":"资金流出总额回报","Reward / risk":"收益/风险","Reward at target":"目标收益","Risk after rounding":"取整后的风险","Risk budget":"风险预算","Risk budget = account × risk % ÷ 100. Units = risk budget ÷ |entry − stop|, rounded down to the unit increment. Stop below entry models a long position; stop above entry models a short position. Target must be on the profitable side.":"风险预算=账户规模×风险%÷100。单位数=风险预算÷|入场价−止损价|，并向下取整到单位增量。止损价低于入场价表示多头仓位；止损价高于入场价表示空头仓位。目标价必须位于盈利一侧。","Risk per position (%)":"每个仓位的风险（%）","Selected lots":"所选手数","Sell":"卖出","Shares":"股份","Shares needed to reach a target average":"达到目标平均成本所需的股份数","Shares or units":"股份或单位","Shares plus retained cash":"股份加留存现金","Shares remaining":"剩余股份","Short (sell)":"空头（卖出）","Short call":"卖出看涨期权","Short put":"卖出看跌期权","Side":"方向","Sizing mode":"规模模式","Standard — 100,000 units":"标准—100,000单位","Starting rate guess (%)":"起始利率猜测值（%）","Starting share price":"起始股价","Starting shares":"起始股份","Stock average calculator":"股票平均成本计算器","Stop and target calculations assume exact fills. Fees, leverage, margin, gaps and slippage are excluded. Pip value is held constant at the supplied rate.":"止损和目标计算假设按确切价格成交。不计入费用、杠杆、保证金、跳空和滑点。点值保持为所提供的数值。","Stop distance (pips)":"止损距离（点）","Stop price":"止损价","Strike price":"执行价","Target average cost":"目标平均成本","Target distance (pips)":"目标距离（点）","Target price":"目标价","The target average must lie strictly between the current average and the new purchase price.":"目标平均成本必须严格位于当前平均成本和新买入价格之间。","These are arithmetic tools, not investment advice. Enter every figure yourself; no market data is fetched.":"这些是算术工具，不构成投资建议。请自行输入所有数据；工具不会获取市场数据。","Total value":"总价值","Trade":"交易","Underlying cost per share":"标的每股成本","Underlying price at expiration":"到期时的标的价格","Underlying shares held":"持有的标的股份","Unit increment":"单位增量","Unlimited":"无限","USD — US dollar":"USD—美元","USD is the base currency":"USD是基础货币","USD is the quote currency":"USD是计价货币","USD pip value per selected lot":"每个所选手数的USD点值","Use a non-negative dividend, 1 to 100 whole years, growth above −100%, and withholding from 0% to 100%.":"请输入非负股息、1到100个完整年度、高于−100%的增长率，以及0%到100%的扣缴率。","Use an account above zero, risk above 0% and at most 100%, different entry and stop prices, and a target on the profitable side.":"请输入大于零的账户规模、介于0%和100%之间的风险率、不同的入场价和止损价，以及位于盈利一侧的目标价。","Use buy or sell in the first column; the fee column is optional. Average-cost accounting includes buy fees in the position basis. A sale removes proportional basis; sale fees reduce realised proceeds. Remaining average cost stays the same after a sale. This is bookkeeping arithmetic, not a tax-lot rule.":"第一列请输入买入或卖出；费用列可选。平均成本记账会将买入费用计入仓位成本基础。卖出时按比例扣除成本基础；卖出费用会减少已实现收入。卖出后剩余股份的平均成本保持不变。这是记账算术，不是税务批次规则。","Use real dates in YYYY-MM-DD format and a finite amount on every row.":"请使用YYYY-MM-DD格式的真实日期，并为每一行输入有限金额。","Use YYYY-MM-DD dates, negative amounts for money out and positive amounts for money in. Include final holdings value as a positive flow on the valuation date. Dates are sorted; actual days are divided by 365. The rate solves Σ cash flow ÷ (1 + rate)^(days / 365) = 0.":"请使用YYYY-MM-DD日期，资金流出用负数，资金流入用正数。在估值日将最终持仓价值作为正向资金流计入。日期会排序；实际天数除以365。利率满足Σ现金流÷（1+利率）^(天数/365)=0。","Withheld":"已扣缴","Withholding tax (%)":"预扣税（%）","XIRR":"XIRR","XIRR calculator":"XIRR计算器","Year":"年份","Year 1 uses the starting dividend and opening shares. Price growth occurs before one annual reinvestment at year end. Dividend growth starts in year 2. Fractional shares are allowed; cash earns no interest. Withholding is a user assumption, not a tax calculation.":"第1年使用起始股息和期初股份。价格增长发生在年末一次性年度再投资之前。股息增长从第2年开始。允许零股；现金不产生利息。扣缴率由用户假设，不是税务计算。","Year-end price":"年末价格","Year-end value":"年末价值","Years":"年数","Zero profit from {0} upwards.":"从{0}起向上利润为零。","Zero profit throughout {0} to {1}.":"从{0}到{1}全程利润为零。"}