杠桿率 的英文怎麼說

中文拼音 [gānggǎn]
杠桿率 英文
leverage ratio
  • : 杠名詞[書面語]1. (橋) small bridge2. (旗桿) flagstaff
  • : 桿名詞(桿子) pole; staff
  • : 率名詞(比值) rate; ratio; proportion
  1. So we consider five financial indexes includes stock b / p, e / p, current stock size, current stock stru and financial levge by the international tradition, then descriptive statistical test method and cross section statistical test method proved that b / p and current stock size have marked effect on the securities yield besides coefficient b. in the third chapter, the article fut forward a risk factor model, estimates yield sequences of every risk factor by weight regression, and then estimates each risk factor coefficient of different stock by time sequence regression, at last we can reckon the portfolio risk o2p and yield rp which consists n stocks

    結合國際慣例,文章考慮了股票的凈值市價比( b p ) ,市盈倒數( e p ) ,流通規模( size ) ,流通比例( stru )和財務( levge )等五個財務指標,應用描述性統計檢驗和橫截面統計檢驗等多種方法,結果表明,除系數以外,凈值市價比( b p )和流通規模( size )對證券收益部有重要的影響。在論文的第三章,提出了一個基於多因素的風險因子模型,並用加權回歸和時間序列回歸等方法估計出了不同證券的各風險因子系數(類似於單指數模型中的系數) ,據此,即可衡量出一個包括n只股票的組合的風險_ p ~ 2和收益r _ p 。
  2. Highly leveraged, computer - driven “ quant ” funds are having to liquidate shares, bonds and anything else they can sell in order to meet margin calls from their prime brokers

    為了滿足他們的機構經紀人的利潤要求,高、計算機推動的優質基金公司將出售他們的股份、債券和其他能夠銷售的東西。
  3. The improvements of the du pont system of financial analysis include : introducing analysis of cash flows to the du pont system of financial analysis ; introducing managerial accounting data, marginal contribution analysis, safe marginal analysis and leverage analysis to the du pont system of financial analysis ; introducing analysis of value added accounting indices to the du pont system of financial analysis

    杜邦財務分析體系的主要改進有:在杜邦財務分析體系中引入現金流量表數據進行現金流量分析;在杜邦財分析體系中引入管理會計數據,進行邊際貢獻分析、安全邊際分析及分析;在杜邦財分析體系中引入增值會計數據分析企業對社會的貢獻。
  4. During the period between 3 years to 2 years before financial distress, the higher the individual financial leverage of directors is, the greater the probability of financial distress incidents is

    危機前三年至前二年間,董監事個人越偏好高之財務操作方式,企業發生財務危機之機越大。
  5. In view of the current financial and economic situation in china, the paper proposes that because of the special exchange rate system, influence of dollar devaluation, and the loss of interest rate leverage, china ' s exchange rate policies and interest rate policies do not conflict but work in harmony

    結合我國現階段的實踐利失效、獨特的匯形成機制,以及受到美元貶值的影響,指出我國匯政策與利政策並不相互沖突,而是表現為相互協調和吻合。
  6. Electromechanical switches for use in electronic equipment - part 4 : sectional specification for lever toggle switches - section 2 : detail specification for one pole, two pole, four pole, sealed lever toggle switches, 277 v a. c. maximum, 30 v d. c. maximum, 20 a maximum electrical rating

    電子設備用機電式開關.第4部分:操縱撥動開關的分規范.第2節:最大交流電壓為227伏最大直流電壓為30伏最大電流為20安培的額定電功,一極二極四極密封操作撥動開關詳細規范
  7. Maximum leverage level

    最高財務杠桿率限制
  8. Definition of leverage

    財務杠桿率定義
  9. High - leverage point

    杠桿率
  10. Even with friday ' s agreement, american banks must still adhere to a crude “ leverage ratio ”

    即使伴隨著周五的協議,美國銀行必定仍堅持原來的「杠桿率」 。
  11. These nine signals measured three areas of a firm ' s financial condition : profitability, financial leverage / liquidity, and operating efficiency

    這9種信號數值衡量一家公司財務狀況的三個方面:收益、財務杠桿率/資產變現和運作效
  12. Leveraged swap a swap that achieves a lower cost of funding than is normally available, but exposes the borrower to compounded risk if interest rates rise

    杠桿率掉期能夠獲得比通常較低的籌資成本,但如果利升高就會使借款人有復雜風險的互換。
  13. Investors seem to pay closer attention to more cautious capital measures such as the leverage ratio, which does not allow for any risk - weighted adjustment to assets

    看起來,投資者開始關注像杠桿率這樣的謹慎資金措施,杠桿率不允許任何資產中出現風險加權調節。
  14. An improvement in leverage suggested an improvement in long - term solvency, while an improvement in liquidity was a good signal about the firm ' s ability to service current debt obligations

    杠桿率增加代表長期償付能力增強,資產變現提高說明公司解決流動負債的能力增強。
  15. Leverage was measured as the historical change in the ratio of total long - term debt to average total assets, while liquidity was measured as the change in the ratio of current assets to current liabilities

    杠桿率是公司長期總負債和平均總資產比的歷史變化額,資產變現則是指流動資產和流動負債比的變化額。
  16. Commercial banks are a kind of unique enterprise, which have the characters of fund concentrated, high risk, and high leverage. these characters make financial management play a core role in bank management

    商業銀行是經營貨幣的特殊商業企業,具有資金密集、高風險、高杠桿率等特性,這些特性決定了財務管理在商業銀行經營管理中處于核心的地位。
  17. In the environment of market economy, the economic lever should be taken to carry out the internalization of accident loss, including the increase of compensation, drawing pledge for work safety, enforcing penalty or forfeit, fluctuating the premium rate, implementing injury leave with wages, and implementing strictly the market entry and exit mechanism

    市場經濟條件下,安全損失內部化須藉助經濟的調節作用,通過提高賠償額度、提取安全生產抵押金、制裁或罰款、浮動保險費、帶薪工傷病假以及市場進退機制等手段,加大安全損失內部化力度。
  18. Are corporates target leverage ratios time - dependent

    企業的目標是否具有時間因素
  19. Even with reduced overall leverage, hlis could still build large foreign exchange positions relative to these markets

    即使整體的減低了,但相對于這些市場來說,高機構的持倉量仍有可能相當大。
  20. It might also be possible for hlis to build up potentially destabilising positions in smaller markets while remaining inside internal limits on leverage and or liquidity risk

    同時,高機構可累積足以動搖較小規模市場的倉盤量,但卻仍然在及或流動資金風險的內部限額之內。
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