國債 的英文怎麼說

中文拼音 [guózhài]
國債 英文
national debt; government loan
  • : Ⅰ名詞1 (國家) country; nation; state 2 (姓氏) a surname Ⅱ形容詞1 (代表國家的) national; of ...
  • : 名詞(欠別人的錢) debt; loan
  1. At present, our country enact the defined interest rate policy, the interest rate is not marketed, but our country reinforce market economy, the method of government debt bond market clean price trade is adopted, the government bond debt index of the stock exchange institution of shanghai, the usage of the usa bid in the government debt bond market, the market factors are more and more t influence the government debt bond market benefit, the marketed interest rate is on the agenda

    現階段,我實行利率管制,利率沒有市場化,但我實行市場經濟,目前國債市場採用凈價交易,我國債法即將出臺,上海證券交易所的國債指數運行,國債發行市場美招標使用,國債發行流通日益市場化,市場因素越來越在國債市場發揮巨大作用,利率市場化已經走上了日程。
  2. A budget surplus may be used to redeem state debt.

    預算盈餘可用於償還國債
  3. Treasury bonds also offer a yield premium over german bunds

    國債的收益率也高於德國債
  4. How to buy national debt ? program ? interest rate how how much is calculative

    如何購買國債?程序?利率如何計算的是多少?
  5. In this case, the bonds were not necessarily representative of any real assets, but the government ' s promise to pay interest and eventually repay the capital sum involved were backed by taxable capacity of the whole community, and, measured by the total amount of money which changes hands, the value of transactions in “ gilt - edged ” stocks now exceeds all the rest put together

    既然這樣,不動資產便不一定需要公作為充要條件.但是政府兌現支付利息的承諾和他們最終是否能償還本金的問題,最後還是要回到整個社會的賦稅能力這個問題上.另外,以成功轉手交易的金額來衡量,政府發行的金邊股票(國債)的價值如今也遠遠超出其他所有證券的總和
  6. Cognition and precautions against our national debts

    對我國債風險的認識及防範
  7. Then, on november 9, 1971, allende took on other foreign creditors.

    接著,1971年11月9日,阿連德又向其他外國債權人開了刀。
  8. The national debt of our country shows the ministry of finance represents the national bonds that administration issues only, make by national finance credit assure, credit is spent very tall, all through the ages has " gilt - edged bond " say, dovish model investor likes to invest national debt

    國債專指財政部代表中心政府發行的家公,由家財政信譽作擔保,信譽度非常高,歷來有「金邊券」之稱,穩健型投資者喜歡投資國債
  9. ( 1 ) financial risk is summed up : have analysed a researcher and is expound the financial risk and risk this of the possibility of the financial crisis takes place and stated basically to the definition of the financial risk both at home and abroad in this chapter, point out at the same time mat the financial risk has objectivity, endogeny and other natural disposition the characteristics of compatible, disguise and accumulating nature, and has observed to the present china ' s finance potential risk theory : namely scholar attempt mostly

    ( 1 )財政風險概述:本章分析了外研究者對財政風險的定義,並闡明財政風險是發生財政危機的可能性的風險這一基本表述,同時指出財政風險具有客觀性、內生性與外生性並存、隱蔽性和累積性的特徵,並對當前中財政潛在風險理論進行了評述:即學者大都試圖通過對于國債規模與結構是否合理的判斷來判別中是否存在著財政危機。
  10. Review of recardian economic effect of government bonds

    主義的國債經濟效應觀述評
  11. Comment on the crowding out of our government bonds

    淺析我國債的擠出效應
  12. Government securities primary dealer system

    國債一級自營商制度
  13. Public debt affect economic growth mainly by means of affect the social investment and economical resource configuration habitus

    國債對經濟增長的影響主要通過影響資本的投入和資源配置來實現的。
  14. It is the fixed deposit receipt with building a bank and construction bank bear sold national debt serves as impawn, if be during loan individual cannot reimbursement, the bank cashs deposit receipt or national debt will return loan

    它是以在建設銀行的定期存單和建設銀行承銷的國債作為質押,假如在貸款期間個人不能還款了,銀行就把存單或國債兌現來還貸款。
  15. This involves an increase of the national debt.

    這樣就難免使國債增加。
  16. The dissertation first examines the issuing laches of national debt, focusing on the problems of conformation of its price, choice of ways of issuing and designing of its issuing structure

    論文首先考察了國債的發行環節,研究了包括國債發行價格的確定、發行方式選擇和發行結構的設計等問題。
  17. The system is prohibited by law in the p. r. of china. although, in recent times there has been much market pressure in the p. r. of china for change. especially after the p. r. of china has been the leaguer of the wto

    1994年以前我銀行業事實上採取的是混業經營模式, 1992年下半年開始的泡沫經濟,使銀行大量資金通過國債回購、同業拆借進入證券市場,金融秩序極度混亂,甚至一度出現了嚴重的金融市場失控局面。
  18. Comparison of market making in equities and fixed income markets

    股票市場與國債市場差異分析
  19. In order to exactly grasp and thoroughly analyze national debt, the dissertation is divided into six chapters on the basis of a retrospect and pectination of the development of national debt and its corresponding theories. the main line of the thesis is to extend the room of loan and to realize the sustainability of national debt policy. the dissertation examines the issuing, using, circulating and paying of the national debt following the track of its circulation

    為了準確把握和透徹分析國債問題,論文在回顧和梳理我國債實踐和國債理論發展的基礎上,以拓寬舉空間、實現國債政策的可持續性為主線,循著國債運行的軌跡,對國債從發行、使用、流通到償還的整個循環進行了考察,並重點探討了國債規模和國債政策的可持續性問題。
  20. Fourthly, new design for the controlling subject of investment and fundamental national debt law. last, as a relevant system, the thesis attempts to set up public bonds of local government and strengthen the regulation over investment projects and capital

    最後,是國債投資調控的主體的新設想及基本國債法的設計,而且將建立地方政府公制度和加強國債投資項目及資金的監管作為相關制度予以探討。
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