結算日價 的英文怎麼說
中文拼音 [jiēsuànrìjià]
結算日價
英文
making-up price- 結 : 結動詞(長出果實或種子) bear (fruit); form (seed)
- 算 : Ⅰ動詞1 (計算數目) calculate; reckon; compute; figure 2 (計算進去) include; count 3 (謀劃;計...
- 日 : Ⅰ名詞1 (太陽) sun 2 (白天) daytime; day 3 (一晝夜; 天) day 4 (泛指某一段時間) time 5 (日...
- 價 : 名詞1. (價格) price 2. (價值) value 3. [化學] (化合價) valence
- 結算 : settle accounts; close an account; wind up an account; balance accounts; squaring up; final estim...
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All sold emerging stocks but those traded directly with market makers must be cleared via taiwan securities central depository ; tscd s book - entry securities system for delivery. different from the tse and gtsm stocks, those traded in the emerging market must be deposited into tscd two days prior to the trade date. payment will be delivered to seller s bank account on t 2 by noon
賣出的興櫃股票,除自行與推薦證券商在系統外議價成交者外,一律要透過集保帳簿劃撥方式辦理交付,賣出興櫃股票至少必須在成交當日將股票送存集保結算所,才可以辦理交割即:Members also advised that the flexibility to sell hong kong dollars on the strong side on a t 0 basis should also continue and that the t 0 rate quoted in such cases should continue to be determined by reference to the spot rate in the market and the differential between the hong kong dollar rate at which two - day funding might have been available to the counterparty and us dollar short - term market interest rates
委員會成員亦認為,當金管局在港元偏強時出售港元,應保留可以按t 0結算的彈性做法此外,此類交易所報的t 0匯率亦應繼續根據兩項參考因素定出:一是市場的現貨匯價t 2 ,一是港元息率以交易對手借入兩日資金所需的息率計與美元短期市場息率的差距。Closing price on valuation date
于結算日股票收市價港幣With the steady growth of natural gas, the recent hot spot of world sources of energy and with the encouraging progress in such renewable sources of energy as solar energy and wind energy, the proportion of oil in the world ' s unrenewable sources of energy has indeed been lower than before ; nevertheless, upon comparing with natural gas, nuclear energy and other sources of energy, it has been found out that the dominance of oil in the world ' s unrenewable sources of energy will remain unshakable in the coming 20 years though after that period of time there may be intense competition between oil and natural gas for supremacy. although people have been repeatedly made a fool of by the unpredictable oil price and made one misjudgement about it after another, yet given the world general situation of oil supply and demand, the essential variable, with which the oil price will continue to vary, plus other factors, such as the oil price policy of some middle eastern oil producers which is tending more and more rational, it can be roughly concluded that the world oil price will be stable with a slight rise
再者,隨著天然氣? ?世界能源的新熱點的「蒸蒸日上」 ,在太陽能、風能等可再生能源方面取得的可喜進展,石油在世界一次能源構成中的比例的確已不如往昔,不過,一經與天然氣、核能等進行對比分析,就發現石油在世界一次能源構成中的「霸主」地位在今後20年內仍難撼動,此後有可能會出現天然氣與石油一決高低的局面;在難以捉摸的油價面前,人們曾一次次地受到它的捉弄,一次又一次在它面前「失算」 ,但基於世界石油供求大勢仍將是其變動的基準,再考慮到其他因素,諸如中東產中東石油與21世紀的中國石油女全內容摘要油國的漸趨理性的油價政策等的影響,大致可以得出世界油價穩中有升的結論,當然,由於世界石油市場的本性使然,加上新近出現的加劇市場動蕩的4大不穩定因素的干擾… …油價在未來一段時間內依然難改動蕩本色。A buyer of notes has to pay to the seller the purchase price plus an amount equal to the interest accrued from the last interest payment date to the settlement date
債券買方要向賣方支付購買價加相當于上一個利息支付日至結算日期間的累計利息的金額。A buyer of the notes has to pay to the seller the purchase price plus an amount equal to the interest accrued from the last interest payment date to the settlement date
債券買方要向賣方支付購買價加相當于上一個利息支付日至結算日期間的累計利息的金額。Some us 4. 4 billion in the exchange fund was sold on the last two trading days in august 28 and 31 august for " value spot ", that is, for settlement in two days on 1 september and 2 september respectively to fund the investment in hong kong stocks
外匯基金中約44億美元於8月份最後兩個交易日8月28日和31日按現貨價售出,即于兩日內分別為9月1日和9月2日結算,以籌集投資于香港股票市場所需資金。In forward contract, currencies will be traded on the expiration day at the prearranged price while in futures contract currencies will be transferred at the settlement price on the expiration day
遠期合約在截止日期將按照事先商定的價格交割外匯,而外匯期貨合約必須按照截止日的結算價格交割外匯。Believe the price of your selected stock is unlikely to fall to or below your selected strike price on the valuation date
您認為所選股票的價格在結算日將不會跌至或低於您選擇的行使價Upon the valuation date, if the closing price of the linked stock is higher than the strike price, you will receive the principal and interest in cash
于結算日,如掛?股票的收市價高於行使價,您將會以現金獲取本息。With regard to a fair value hedging of interest rate risk portfolio, the relevant items separately presented in the balance sheet shall, during the period from the adjustment date to the relevant date on which the re - pricing period ends, be amortized based on the effective interest rate re - calculated on the adjustment date
對利率風險組合的公允價值套期,在資產負債表中單列的相關項目,也應當按照調整日重新計算的實際利率在調整日至相關的重新定價期間結束日的期間內攤銷。This artick introduced the design of project amount bill counfing system based on excel, which will improve the project accounting settlement level and pronda a tool for accountant
摘要本文介紹了用日常通用電子表格軟體excel編制工程量清單計價系統,為實現工程預結算電算化的快速普及和提高提供參考,並為相關造價人員提供一種實用的計價工具。Article 6 as to a equity - settled share - based payment in return for employee services, if the right cannot be exercised until the vesting period comes to an end or until the prescribed performance conditions are met, then on each balance sheet date within the vesting period, the services obtained in the current period shall, based on the best estimate of the number of vested equity instruments, be included in the relevant costs or expenses and the capital reserves at the fair value of the equities instruments on the date of the grant
第六條完成等待期內的服務或達到規定業績條件才可行權的換取職工服務的以權益結算的股份支付,在等待期內的每個資產負債表日,應當以對可行權權益工具數量的最佳估計為基礎,按照權益工具授予日的公允價值,將當期取得的服務計入相關成本或費用和資本公積。Article 5 as to an equity - settled share - based payment in return for services of employees, if the right may be exercised immediately after the grant, the fair value of the equity instruments shall, on the date of the grant, be included in the relevant cost or expense and the capital reserves shall be increased accordingly
第五條授予后立即可行權的換取職工服務的以權益結算的股份支付,應當在授予日按照權益工具的公允價值計入相關成本或費用,相應增加資本公積。Article 12 as to a cash - settled share - based payment, if the right may not be exercised until the vesting period comes to an end or until the specified performance conditions are met, on each balance sheet date within the vesting period, the services obtained in the current period shall, based on the best estimate of the information about the exercisable right, be included in the relevant costs or expenses and the corresponding liabilities at the fair value of the liability undertaken by the enterprise
第十二條完成等待期內的服務或達到規定業績條件以後才可行權的以現金結算的股份支付,在等待期內的每個資產負債表日,應當以對可行權情況的最佳估計為基礎,按照企業承擔負債的公允價值金額,將當期取得的服務計入成本或費用和相應的負債。This paper contains three parts : cost estimating, profit decision and unbalanced bidding strategy. the cost estimaging part introduces the product assembly model and describes how to convert it to assembly logic net. then we use the msps algorithm to weigh the product complexity and get the analogy coefficient to estimate the cost. then we analyze the traits of bidding activity, erecting a profit decision model based on fuzzy set theory. this model can choose the best profit through quantifying quote objects, profit influence factor and candidate profits. then we introduce unbalanced bidding strategy on basis of the traits of the discrete manufacturing enterprise. we take amount, date, cost subjects and technology into account. we change the price of all parts of the product, in order to get more benefit negative influence. this paper introduces the design and implementation of the system
接下來建立了基於模糊集的利潤率決策模型,以模糊集作為數學依據,量化企業投標目標、利潤率影響因素、投標利潤率三者之間的關系,為投標產品確定最適合的總利潤率,以最大化保證企業投標目標的實現。然後根據離散製造企業的特點,提出以bom為中心不平衡報價策略,從零件的需求數量、需求日期、成本科目劃分以及零件本身的技術難度進行考慮,通過在保持投標產品的投標總價基本不變的前提下,有意識有策略地調整產品各組成部分的報價,以達到既不提高總價,也不影響中標,又能在結算時獲得更理想的經濟效益的目標。Stock market risk - depending on the closing price of the underlying stock on the stock valuation date, you may receive the interest return calculated at eld interest rate plus the pre - determined number of shares instead of the principal
股市風險-除以股票掛?存款利息計算之利率收益外,您可能會獲得既定股數的股票,而非本金,這將視乎掛?股票在結算日的收市價而定。However, the investment return is determined based on the official closing price of the underlying stock on the valuation day irrespective of the fluctuation in the underlying stock price before that day
該回報將取決于有關股票于結算日的正式收市價,而不會受其在該日前的價格波動影響多隻股票以供選擇1 actual return : cash return assuming the depositor sells the stock immediately upon settlement and the share price is the same as the closing price on valuation date
1 .實質回報:以存戶于結算日即沽出股票而當時股價相等於結算日的收市價計Article 11 as to a cash - settled share - based payment instruments, if the right may be exercised immediately after the grant, the fair value of the liability undertaken by the enterprise shall, on the date of the grant, be included in the relevant costs or expenses, and the liabilities shall be increased accordingly
第十一條授予后立即可行權的以現金結算的股份支付,應當在授予日以企業承擔負債的公允價值計入相關成本或費用,相應增加負債。分享友人