支票利率 的英文怎麼說

中文拼音 [zhīpiào]
支票利率 英文
check rate
  • : Ⅰ名詞1 (分支; 支派) branch; offshoot 2 (地支) the twelve earthly branches3 (姓氏) a surname...
  • : 名詞1 (作為憑證的紙片) ticket 2 (選票) ballot 3 (鈔票) bank note; bill 4 (強盜綁架去用做抵...
  • : 率名詞(比值) rate; ratio; proportion
  • 支票 : check; cheque
  1. What ' s your interest rate for your checking accounts

    你們的戶頭是多少?
  2. The following conclusions are summarized from this empirical study ; ( l ) the " expected pretax monthly returns of stocks are positively correlated to dividend yields. investors need higher pretax raturns to offset the disadvantages of dividend tax, ( 2 ) the effect of dividend tax is significant on ex - dividend - day and monthly yield, but the tax effect on yearly yield is not confirmed, ( 3 ) there are other factors affecting stocks " expected returns besides tax during the ex - dividend days

    對紅徵收所得稅影響投資者我國股政策稅收效應的實證研究的實際收入,投資者因此需要更高的期望收益以彌補稅收帶來的損失: ( )股所得稅對股除權日和股付月份的期望收益影響明顯,但對年期望收益的影響沒有得到證實; ( 3 )股發放期間,除了稅收的影響作用外,還有其他因素對股的預期收益產生影響。
  3. Fixed rate bonds pay a pre - determined coupon and frns pay coupons at a premium above the bank ' s fixed deposit rate

    固定債券付預決息,浮動債券根據銀行存款貼水付息
  4. So notes and bonds usually pay higher interest rates than short - term bills or commercial ( 寫 成 commercual ) paper

    所以據和債券通常要比短期匯或流通付更高的
  5. It is the basis of oas to construct zero coupon yield curve and define interest rate term factors model. the key of oas is to select a kind of interest rate scenario simulation and evaluation methodology fitting abs / mbs

    其中,零息收益曲線的構造和期限因素模型的定義是期權調整差法的基礎;選擇適合資產抵押持證券的情景模擬技術和估價技術是其關鍵。
  6. Allowing for freer access to day end liquidity through the use of exchange fund paper which is fully backed by foreign currency reserves will make hong kong s monetary system less susceptible to manipulation and dampen excessive interest rate volatility without departing from the discipline of the currency board arrangement

    由於外匯基金債券據有外匯儲備提供十足持,所以讓持牌銀行可以更多用這些債券據經貼現窗以回購協議形式取得日終流動資金,可以在沒有偏離貨幣發行局的運作原則下,減低投機者操控市場的能力,以及遏止過度波動的情況
  7. American express travelers cheques currently offer 7 currencies in hong kong and macau. before traveling, you can check the moving of exchange rate. purchasing travelers cheques is a smart investment choice when the exchange rate is in your favor.

    美國運通旅行目前在香港及澳門有7種幣別,在您旅遊前購買外幣旅行,您甚至可以鎖定有的匯,使您的資金運用更有價值。
  8. ( 5 ) in analyzing the cases of information asymmetry issue of listed companies, the dissertation simplifies the theory raised by foster, the american accountant and economist, boly, brown, etc, explaining the influence on the price fluctuation caused by the ration of share distribution, share transfers, etc. the dissertation holds the opinion that the basic risky coefficient and systematic coefficient in sharp model can be easily calculated by comparing the practical interest rate of one particular stock to the interest rate of the whole stock market during the same period

    ( 5 )本文在對上市公司信息不對稱問題的實證分析中,簡化了美國會計師、經濟學家福斯特、威克、鮑、布朗等人對上市公司派、送、轉股比例對股市場的價格變動研究的市場模型,認為通過研究某在某個具體時間內的實際收益和相同的時間內股市場的實際收益,就可以方便地定出夏普模型中的基礎性風險系數和系統性風險系數。
  9. Provided that stock price process is a jump - diffusion process, the rate of return and the volatility are functions of time, the pricing formula of exponential european jump option can be obtained with the principle of equivalent martingale measure

    摘要假定股價格過程服從跳躍擴散過程,且無風險,股收益、波動均為時間函數,用等價鞅測度方法得出了付函數為冪型的歐式期權定價公式。
  10. Even some companies the continuous dole out cash dividends make and ordinary show on stock price. on the other hand, companies that dole out stock dividend give a good manifestation on stock markets before and after their announcement on the stage

    一些連續派發現金紅較高的上市公司,其股價格長時間表現平平,而一些派發股的上市公司,在送股消息出臺前後股價大幅攀升。
  11. The interest rate on a debt instrument expressed in terms of a percent on an annualized basis that the issuer guarantees to pay the holder until maturity

    一種,是出人在據到期時,向持有者付的債務工具的年金的百分比。
  12. The increase in this ratio since the establishment of the backing portfolio primarily reflects the accumulated excess of earnings on us investments over interest payments on exchange fund bills and notes

    持組合設立以來,持比增加主要是因為美元投資項目的累計收益超過外匯基金據和債券的出。
  13. The increase in this ratio since the establishment of the backing portfolio primarily reflects the accumulated excess of earnings on us $ investments over interest payments on exchange fund bills and notes

    持組合設立以來,持比增加主要是因為美元投資項目的累計收益超過外匯基金據和債券的出。
  14. To the extent that interest income arising from the us assets in the backing portfolio exceeded interest payments on exchange fund paper, the backing ratio would rise over time

    只要來自持組合內美元資產的息收入超過外匯基金據和債券的出,持比便會逐步上升。
  15. On the assumption of continuous dividend of shares award, we ' ll establish such a model in the way that continuous dividend rates is attached to shares option pricing in jump process and work out the formula of average relationship between the rising and falling option and european rising option pricing all through martingale theory and stochastic analysis

    摘要假定在股付連續紅的情況下,我們將建立付連續紅服從跳過程的股期權定價模型,並用鞅論和隨機分析的方法給出歐式看漲期權定價模型及看漲和看跌期權的平價關系式。
  16. As for the second factor, interest rate movements would affect the backing ratio via their impact on the market valuation of backing assets and the exchange fund paper component of the monetary base

    至於第2項因素,變動會令持組合內的資產以及貨幣基礎的外匯基金據和債券部分的市場估值產生變化,從而影響持比
  17. The interest rate paid is usually expressed in annual terms though money market instruments may have a shorter term than one year

    付形式通常以年為期限,雖然金融市場據會有一個更短的時間。
  18. Banks are charged the base rate with respect to the first 50 per cent of their holding of exchange fund bills and notes, but, for the next 50 per cent, base rate plus 5 per cent, or the overnight hong kong interbank offer rate ( hibor ) of the day, whichever is the higher

    銀行在貼現窗借款不超過本身所持外匯基金據及債券總數的百分之五十,將須按基本息;至於用餘下的外匯基金據及債券借款,則須按基本加5厘,或當日的港元隔夜銀行同業拆息(兩者以較高者為準)息。
  19. Having a bearing on monetary and financial stability in hong kong. these issues included the possible issuance of exchange fund papers to reduce the aggregate balance, movements in the backing ratio, the adequacy of international reserve holdings, macroeconomic conditions in mainland china, the use of the federal funds futures rate to extract information on market expectation of us monetary policy, and a review of hkma operations in the foreign exchange market

    這些課題包括發行外匯基金據及債券以減低總結餘水平、持比的變動、國際儲備在怎樣的水平才算足夠、中國內地的宏觀經濟狀況、透過聯邦基金期貨套取有關市場對美國貨幣政策的預期的資料,以及檢討金管局在外匯市場的操作。
  20. Still having a problem was to enter brushstroke the account of 20 thousand, check leaves go out 18400, the rate that says artificial stuff is 3 : 7, how should i handle cost, profit and taxes, my company is construction company

    還有一個問題是進了一筆兩萬的帳,開出去18400 ,都說人工材料的比是3 : 7 ,我該如何處理成本,潤和稅金,我公司是建築公司。
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