漲價之市場 的英文怎麼說

中文拼音 [zhǎngjiàzhīshìchǎng]
漲價之市場 英文
rising market
  • : 漲動詞1 (體積增大) swell up 2 (充血) (of the head) be swelled by a rush of blood 3 (多出; ...
  • : 名詞1. (價格) price 2. (價值) value 3. [化學] (化合價) valence
  • : 同 「黻」[fú]
  • : 場Ⅰ名詞1 (平坦的空地 多用來翻曬糧食 碾軋穀物) a level open space; threshing ground 2 [方言] (...
  • 漲價 : rise in price; inflation of prices漲價方針 inflationary policy
  1. Firstly, in these years, the demand for zhejiang fritillary was great, the price was rising rapidly and the planters had a good harvest

    首先,浙貝母需求巨大。近年來,浙貝母呈現供不應求趨勢,格也呈現快速上勢,藥農種植效益顯著。
  2. The hike followed upswings in other markets during china ' s week - long national holiday break

    在中國的國假日期間其它的銅風四起,中國的銅也隨上升。
  3. The prices of copper have dramatically increased since the year of 2003. since a corporation took no action to manage the risks of price fluctuation in the face of the growth of cooper price, a corporation completely exposed itself to the risks of price fluctuation of cooper market. this led to the rise of the production cost of a corporation year after year and the continuous drop of the primary business profitability

    自2003年以來,金屬銅的格急劇上,而面對銅格的上, a公司沒有採取任何措施管理格波動的風險,致使公司完全暴露在銅格波動的風險下,這種風險暴露導致了a公司生產成本逐年上升,主營業務盈利能力不斷下降,影響了公司的發展。
  4. At the appointed time company stock rises in price, identify what equity card place sets more than buy the price, authority card hold person buy a share by subscribe price, earn market price case and admit buy the price difference between the price ; if at the appointed time the subscribe price that market price case compares an agreement is low still, authority card hold person can abandon subscribe

    屆時公司股票格上,超過認股權證所規定的認購格,權證持有者按認購格購買股票,賺取格和認購間的差;若屆時格比約定的認購格還低,權證持有者可放棄認購。
  5. Rose 跌 停 板 system stems from the early stock markets abroad, is the stock market in order to prevent the skyrocketing prices plummeted transactions, inhibiting excessive speculation in the securities per day price to be appropriate restrictions on price movements of a trading system whereby transaction prices in a volatile trading range for the largest previous closing price of upper and lower percentage than after the transaction

    跌停板制度源於國外早期證券,是證券中為了防止交易格的暴暴跌,抑制過度投機現象,對每隻證券當天格的跌幅度予以適當限制的一種交易制度,即規定交易格在一個交易日中的最大波動幅度為前一交易日收盤上下百分幾,超過后停止交易。
  6. With a rapid expanding of banking credit on real estate industry since 1998, as long as the housing price soaring, there are a theoretical controversy on real estate bubble in china. at the present, our real estate industry depends deeply on credit funds, the bank credit supports our real estate to its full flourish, while accumulating substantial risk correspondingly. therefore, researching the relationship between bank credit behavior and real estate bubble is of great meaning to understand the formation mechanism of bubble and to take measures to guard against and to dissolve the risk of real estate bubble

    本文借鑒carey模型和herring & wachter模型來研究銀行信貸行為與房地產泡沫間的關系,認為銀行提供的信貸資金是房地產格的一個決定因素,銀行信貸擴張是造成房地產格上直至泡沫形成的重要因素;房地產業的高收益率、銀行對風險評估的失敗是銀行信貸集中於房地產業的主要原因;運用行為金融學理論研究表明,房地產信貸存在著過度自信與羊群效應行為,這些行為使得銀行低估信貸集中於房地產業的風險,從而使得大量的信貸資金集中於房地產業。
  7. Study work mainly is : part one, look back and look ahead the financial development history and present situation that derives market and the futuristic tendency, summarize domestic and international theory and method about venture capital investment, discuss establishment and develop the financial necessariness and important meaning of our country that derives market ; part two, establishthe relation between investment risk and the radom expectation effectiveness of investor ? verage stochastic dominance of asset profit ; part three, covari - ance matrix in mean - variance model is analysed with sensitivity analysis and fuzzy analysis ; part four, have looked back the concept of option, the price relation of option and black - scholes option price formula, have put forward option price formula of the discounted value of option present value ; part five, have looked back the financial concept and its classfication that financial derivatives risk, have summarized financial risk management theory, measured and assessed methods of financial derivatives risk

    主要研究工作為:第一章,回顧和展望金融衍生的發展歷史、現狀和未來,綜述國內外關于風險投資的理論與方法,論述建立和發展我國金融衍生的必要性及重要意義;第二章,建立投資者的隨機期望效用與投資風險間的關系? ?平均隨機占優;第三章,均值方差模型協方差矩陣的靈敏度分析與模糊分析;第四章,回顧了期權的概念、期權的格關系和black - scholes期權定公式,提出了歐式看期權格的折現值所滿足的微分方程;第五章,回顧了金融衍生品風險的概念及其分類,總結了金融衍生品的風險管理理論和金融衍生品風險計量和評估方法。
  8. Santiago ( reuters ) - chile ' s leftist president michelle bachelet, keeping to a tradition of frugality despite her country ' s recent copper boom, is seeking an inexpensive second - hand plane for her travels

    盡管近期國際使得身為世界主要產銅國家的智利大賺了一筆,但該國總統巴切萊特卻依然保持著一貫的節儉作風,她眼下準備運用政府資金購買一架相對便宜的二手飛機以備自己出行需。
  9. The paper is composed of five chapters the first chapter first introduces the concept, characteristics and the course of development of the stock index futures, then deduces the pricing formula of stock index futures and further analyses the functions of stock index futures and the impact of its transaction on the fluctuation of the spot transactions. the second chapter demonstrates the need and feasibility of the introduction of the stock index futures in china. through the empirical analysis of the market risk of china ' s stock market, we can see that the risk difference between individual stocks, so a portfolio investment wo n ' t help much in risk aversion

    本論文共分為五章,第一章在介紹股票指數期貨的概念、特點以及產生與發展的過程的基礎上,對股票指數期貨的定公式進行了推導,從而引出股票指數期貨的套期保值、指數套利、資產配置、組合保險等作用,進而分析股票指數期貨交易對股票現貨波動性的影響;第二章主要是對中國推出股票指數期貨的必要性和可行性進行論證,通過對中國股票風險測度的實證分析,得出了中國股票格波動齊齊落,個股間的風險差異小的特點,因此,投資者進行投資組合的避險效果就很有限,無論是個人投資者還是機構投資者,都必須面臨中國股票巨大風險的事實。
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