指數債券 的英文怎麼說

中文拼音 [zhǐshǔzhàiquàn]
指數債券 英文
index bond
  • : 指構詞成分。
  • : 數副詞(屢次) frequently; repeatedly
  • : 名詞(欠別人的錢) debt; loan
  • 指數 : 1. [經] (比數) index number; index 2. [數學] exponent
  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,我國實行利率管制,利率沒有市場化,但我國實行市場經濟,目前國市場採用凈價交易,我國的國法即將出臺,上海證交易所的國運行,國發行市場美國招標使用,國發行流通日益市場化,市場因素越來越在國市場發揮巨大作用,利率市場化已經走上了日程。
  2. For the purpose of these conditions, securities shall include but not be limited to the following investments shares in companies incorporated in any jurisdiction ; debenture stock, loan stock, bonds, notes, certificates of deposit, commercial paper or other debt instruments, including government, public agency, municipal and corporate issues ; warrants to subscribe for the above investments ; depositary receipts or other types of instruments relating to the above investments ; unit trusts, mutual funds and similar schemes established in any jurisdiction, options, whether on any investment herein described, on currencies, precious metals or other assets, or an option on an option ; contracts for the purchase or sale at a pre - agreed price and at a future date of any investment herein described or any currency, precious metal or similar asset ; viii contracts for differences or contracts on indices ; investments which are similar or related to any of the foregoing ; and unless otherwise expressly agreed, documents of title or documents evidencing title to investments previously deposited by the customer with the bank in connection with the provision by the bank of custody of investments and provision of securities services

    此等條件所的證包括但不限於以下投資項目i在任何司法管轄權區注冊成立之公司之股份ii包括由政府公共機構市政府及企業所發行的權股證貸款股額票據存款證商業票據或其他務票據iii以上投資項目之認購權證iv有關上述投資項目之存款收據或其他種類之票據v在任何司法管轄權區成立之單位信託互惠基金及類似計劃vi上述之任何投資項目貨幣貴金屬或其他資產之期權或期權之期權vii按預先協定價格及在將來日期買賣任何此等投資項目或任何貨幣貴金屬或類似資產之合約viii差價合約或合約ix類似或有關上述任何一項之投資項目及x除非已另有明確的協定,客戶先前存放在本行之投資項目之所有權文件或可證明該等項目的所有權的其他文件。
  3. Research on the application of exponential spline function to the pricing of zero - coupon bond

    樣條函在零息票定價中的應用
  4. In the context of developing asian bond fund 2, for example, we have achieved a few firsts, including the introduction of the first exchange - traded bond index fund in asia, arranging for two asian markets to allow exchange - traded funds for the first time, and opening up the renminbi inter - bank bond market for the first time to foreign investors

    以亞洲基金ii為例,我們創下了多個第一,包括第一次在亞洲推出交易所買賣的基金為兩個亞洲市場安排第一次推出交易所買賣基金,以及人民幣銀行同業市場第一次向海外投資者開放。
  5. Based on the new bond index, the return comovemnet between stock and bond markets is analyzed. the empirical results show that the returns of stock and bond markets interacts in the long run, and there exists a leading and lag relation between them. the month correlation between the return of stock and bond markets is time - varying, which can be described and predicted with some models

    根據所編制的國,本文實證分析了股票市場與市場之間收益率的聯動關系,發現股票市場收益率與市場收益率之間存在長期影響,股票市場收益率與市場收益率之間存在領先滯后關系,股票市場與市場收益率之間的月度相關性是時序變化的,可以用模型進行描述與預測,並分析了影響這種聯動關系的宏觀經濟因素。
  6. Tokyo ( xfn - asia ) - japanese government bond prices ended the morning session higher after the weaker - than - expected release of economic indicators such as the consumer price index and production data, dealers said

    交易商表示,在市場公布了一系列低於預期且疲軟的日本經濟據(如,消費者物價、生產)后,日本政府結束了早盤的走高趨勢。
  7. Two key components of asian bond fund 2, the pan asia bond index fund and abf hong kong bond index fund, are listed in hong kong

    亞洲基金第二階段的兩個主要成分基金,即沛富基金及abf香港創富基金在香港上市。
  8. After a jittery few weeks, bond markets rallied on june 15th on news that america ' s core consumer price index rose by just 0. 1 % in may

    緊張的幾周過去了,市場在得知五月美國核心消費價格只上升了0 . 1 %之後, 6月15日止跌回升。
  9. In other words, if you spent the interest from your inflation bonds but didn ' t touch the principal, you could collect a government - guaranteed stream of inflation - indexed income

    換言之,如果你花掉了通貨膨脹的利息,但本金未動,你可以獲得一筆政府擔保的通貨膨脹收入。
  10. In addition to the company portfolio options, phnom penh bonds, currencies and indices corresponding options

    除了公司有價證期權,金邊,貨幣和都有相應的期權。
  11. This week an index that tracks bonds consisting of subprime loans made in 2006 dipped below 60 for the first time, down from 97 in january ( see chart )

    這周, 2006年設立的一個跟蹤由次級貸款組成的,自今年1月份跌倒97點以來,第一次探底到60點以下(如上圖) 。
  12. Risk profiles for 300, 000 equities, bonds, currencies, indexes, funds, commodities and unlimited futures, options user - defined securities updated daily, weekly and monthly

    為300 , 000隻股票貨幣基金商品期貨期權和用戶自定義證提供風險特性描述,可實施每日每周每月更新。
  13. Abf2 would offer low - cost index - driven bond funds, including individual country funds and a pan - asian bond index fund, for private sector investment

    此外,第二階段的基金將會提供費用較低的基金,其中包括單一國家或經濟體系的基金及一個泛亞洲基金,以供私營部門參與投資。
  14. The issue will be divided into two portions for allocation in the primary market. the bigger portion, with a minimum size of hk 400 million, will be restricted for competitive bidding by the recognised dealers under the existing tendering mechanism administered by the hkma for exchange fund paper and specified instruments including nip notes

    是次發行的會在第一市場分為兩部分分配,較大的部分為最少達億港元,是供金管局管理的外匯基金票據及定工具包括在發行計劃下發行的的現有投標機制下的認可交易商出價競投。
  15. A long - term balance is noted among the chinese bond prices and fixed - asset investment, net export, commodity price index, monetary supply, bank loans and foreign exchange reserves

    我國市場價格與固定資產投資、凈出口、物價、貨幣供應量、金融機構存貸款和外匯儲備存在長期均衡關系。
  16. Double exponential jump diffusion model forpricing convertible bonds

    基於雙跳擴散模型的可轉換定價
  17. In addition, since the underlying benchmark index will have a monthly rebalancing procedure to include new issuances and exclude bonds approaching maturity, the average yield of the fund will adjust towards the prevailing market yields over time

    同時,相關基準會每月調整一次,加入新發行的,以及剔除快將到期的,這樣基金的平均收益率便會逐步調整至貼近當前市場收益率的水平。
  18. " what seems required at this stage therefore is that authorised institutions should strictly apply existing criteria, including those in respect of loan to value ratios, " top - up " loans, and debt servicing ratios, " mr carse continued

    簡達恆出:現階段認可機構應嚴格遵守現行的貸款準則,包括按揭成補足貸款以及償即還款與入息比率等。
  19. Measuring of market risks was generalized into beta coefficient, duration and convexity of bond risks, delta and var approach. methods of measuring credit risks were classified into classic models and modern credit measuring model. kmv model and creditmetrics model are the two most popular models in western countries

    將市場風險的度量方法歸納為股票的風險度量beta系風險的度量持續期和凸性,金融衍生工具風險的度量delta等標以及綜合度量市場風險的var方法;將信用風險的度量方法歸納為古典模型(專家制度和z計分模型)和現代信用風險度量模型(信用度量制模型等) 。
  20. Both initiatives are aimed at promoting the development of index bond funds in the regional markets and, at the same time, enhancing both domestic and regional bond market infrastructure

    兩者目的是推動區內市場發展指數債券基金,並加強本地及區內市場的基建。
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