混合證券 的英文怎麼說

中文拼音 [húnzhèngquàn]
混合證券 英文
hybrid securities
  • : 混形容詞1. (渾濁) muddy; turbid2. (糊塗; 不明事理) foolish; stupid
  • : 合量詞(容量單位) ge, a unit of dry measure for grain (=1 decilitre)
  • : Ⅰ動詞(證明) prove; verify; demonstrate Ⅱ名詞1 (證據) evidence; proof; testimony; witness 2 (...
  • 混合 : (攙雜在一起) mix; blend; mingle; admix; mixture; mix up; interfusion; commixture; blending; cre...
  • 證券 : bond; security; negotiable securities
  1. My company main products has : bond paper, the watermark guard against false paper, take colour fibre to guard against false paper, the safety line guards against false paper, bible paper, bible paper, food wrapping paper, the grape covers with bag special use paper, outlet, special use fruit bag paper and various specification grape cover with a bag, the pear covers with a bag, the peach covers with a bag, the mango covers with a bag

    我公司主要產品有:黑、白水印紙,安全線防偽紙(包括開窗防偽線) ,彩色纖維防偽紙,熒光纖維防偽紙,黑、白水印、防偽線、彩色纖維防偽紙,黑、白水印無碳紙,紙,字典紙,剛古紙(水紋紙) ,高檔防油紙,食品包裝紙,筷子包裝紙(完封,上質) ,白色葡萄套袋專用紙,各種出口專用水果套袋紙及各種規格葡萄套袋,芒果套袋,柚子套袋,梨套袋等。
  2. The admixture of bank, securities and insurance not only weakened the business foundation, but also capital circulation among bank, securities and insurance and the increasingly osculation of the businesses increase the supervision difficulty. we current adopt mostly the organization supervision, manage through businesses examining and approval

    銀行、、保險之間業務的不僅削弱了分業監管的業務基礎,而且銀行、、保險業之間資金和業務往來的日益密切增加了分業監管的難度。現行分業監管過程中,大都採用機構性監管,以業務審批制方式進行管理。
  3. With the economic and financial globalization and development of information technology and financial innovation, there is an ever more clear tend of significant effect financial holding company ( fhc ) in the whole world financial system

    其基本含義是是指以從事銀行、、保險等全方位金融業務為主導行業,同時還通過各種形式控股兼營工業、不動產、商業、貿易等非金融業務的性金融集團。
  4. Consists of baled unprinted, coated and uncoated shaings or sheets of white groundwood free printing paper. prohibitie materials : none permitted 。 total outthrows may not exceed : 0. 5 %

    硬質白紙邊:未經表面處理的白色紙,帳薄紙或書寫紙和其紙邊,打包供貨。不得含有磨木漿,也不得帶有印刷油墨。不允許有雜物。不格廢紙總量不得超過0 . 5 % 。
  5. Consists of baled unprinted, coated and uncoated shavings or sheets of white groundwood free printing paper. prohibitive materials : none permitted 。 total outthrows may not exceed : 0. 5 %

    硬質白紙邊:未經表面處理的白色紙,帳薄紙或書寫紙和其紙邊,打包供貨。不得含有磨木漿,也不得帶有印刷油墨。不允許有雜物。不格廢紙總量不得超過0 . 5 % 。
  6. Article 132 comprehensive securities firms shall conduct their brokerage business separately from business operated on their own account. the business persons and financial accounts for one type of business shall be kept separate from those for the other type

    第一百三十二條綜公司必須將其經紀業務和自營業務分開辦理,業務人員財務帳戶均應分開,不得操作。
  7. About system of supervision organizations, on the basis of dialectical law of regulation - - - innovation - - - regulation, function - based financial supervision system should be built up and the national financial supervision bureau should be set up to regulate financial trade uniformly and solve the problem of supervising financial innovations. what " more, we should build up such a cubical financial supervision organization system that integrate the financial authority " supervision with financial trade self - discipline, social supervision and discipline of inner financial institutions. at the same time, we should organically integrate stability and flexibility of financial supervision law, change legal system of financial supervision in line with provisions of wto

    在立法價值取向上,應當重視金融監管法的效率價值,以維護金融秩序作為基本價值目標,在具體操作上重點突出促進金融業公平競爭、提升金融運行效率兩個價值目標,並保持各目標之間的平衡與協調;在監管體制上,根據「監管? ?創新? ?再監管」的辯規律,建立功能型金融監管體制,成立銀行業監督管理委員會,組建國家金融監管局對金融業實行統一監管,妥善解決業經營模式下金融創新的監管問題,形成國家管理機關監管、行業自律、金融機構自律和社會監督相結的立體的金融監管組織體系;在監管法律體繫上,應有機結金融監管法的穩定性和靈活性,按wto的要求變革金融監管法律制度,修改《商業銀行法》 、 《保險法》 、 《法》及其他不適應業經營的法律、法規,建立健全有關金融控股公司、網路銀行等方面的法律、法規。
  8. The use of two systems is similar to the hybrid market at the new york stock exchange. trading takes place both on a physical trading floor and electronically

    芝加哥期貨交易所使用的兩種系統方式就跟紐約交易中心的市場差不多,同時在場內和電子系統中進行交易。
  9. Given the degree of interest in china and the relative paucity of data, we aim to provide a benchmark reference tool for other researchers, including by providing some critical perspectives on the numbers that we report. section presents a detailed picture of the evolution of china ’ s capital inflows

    第一種假設從影響fdi的激勵和限制因素的角度出發,認為中國資本流入中高份額的fdi反映了中國政府激勵fdi流入同時阻礙外債和投資流入的政策。
  10. Convertible bonds belong to the fixed income bonds and the affiliations of the securities. they are hybrids of the enterprises " bonds and the stock call option

    可轉換債屬于固定收益,也是股票衍生產品,是企業債和股票看漲期權的混合證券
  11. Lattices and digital tube mixed display screen security screen

    點陣和數碼管顯示屏
  12. Counting correlation dimension of time series of composite price index of shanghai stock exchange by g - p means, analysis testifies chaos progress of the index fluctuation progress, sequentially validates chaos phenomena being in chinese capital market

    利用g ? p法計算了上海交易所的上指數的時間序列的關聯維,通過分析明了其指數波動過程的沌過程,從而也驗了中國資本市場存在沌現象。
  13. Speaking at the hong kong lunch jointly hosted by the hong kong special administrative region government and the hong kong trade development council, mr yam outlined the situation in august when the potential for serious market dislocation had been building up on the securities side

    任志剛在香港特別行政區政府以及香港貿易發展局聯舉辦的香港午宴上致辭時,扼要解釋了月份的情況,指出當時市場方面的形勢相當嚴峻,市場有可能出現極度亂的情況。
  14. Article 200 any security company in simultaneous operations of securities brokerage business and self - managed securities business that fails to handle the businesses separately according to law and conduct mixed operations shall be ordered to make a rectification, confiscated of the illegal income and concurrently imposed a fine of more than 100 % less than 500 % of the illegal income ; where there are serious circumstances, it shall be revoked of the securities businesses originally verified and determined by the securities supervision and administration institution

    第二百條公司同時經營經紀業務和自營業務,不依法分開辦理,操作的,責令改正,沒收違法所得,並處以違法所得一倍以上五倍以下的罰款;情節嚴重的,由監督管理機構撤銷原核定的業務。
  15. Article 200 if a securities firm that operates at the same time securities brokerage business and securities business on its own account fails to keep the two types of business separate from each other according to law and operates them together, it shall be ordered to make rectification, its illegal gains shall be confiscated, and it shall be fined not less than the amount of but not more than five times the illegal gains

    第二百條公司同時經營經紀業務和自營業務,不依法分開辦理,操作的,責令改正,沒收違法所得,並處以違法所得一倍以上五倍以下的罰款情節嚴重的,由監督管理機構撤銷原核定的業務。
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