股票型基金 的英文怎麼說

中文拼音 [piàoxíngjīn]
股票型基金 英文
equity fund
  • : Ⅰ名詞1 (大腿) thigh; haunches 2 (機關、企業、團體中的組織單位) section of an office or enterp...
  • : 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...
  • : Ⅰ名詞1 (金屬) metals 2 (錢) money 3 (古時金屬制的打擊樂器) ancient metal percussion instrum...
  • 股票 : shares; share certificate; stock certificate; equity security; stock; capital stock
  1. Insurance funds, under the draft, may invest in varieties including bank deposit, commercial notes, bank paper, large - value convertible deposit receipts, bonds, money market funds, bond - based funds, shares, global depository receipts, american depository receipts and stock - based funds

    保險資可以投資的品種包括銀行存款、商業據、銀行據、大額可轉讓存單、債券、貨幣市場、債券、全球存托憑證、美國存托憑證、股票型基金等。
  2. In 2002 it implemented a new performance attribution model for analysing the skills of equity managers further to the existing analysis for bond managers

    除了現有對債券經理的分析外,該處亦於2002年推出新的表現評估模,以分析經理的投資管理技巧。
  3. The provisions of subparagraphs 4 to 6 of paragraph 1 do not apply to exchange - traded fund beneficiary certificates

    第一項第四款至第六款之規定,于指數股票型基金受益憑證不適用。
  4. At last, the author discussed the approach of releasing the two types of risk, pointing out that it must be the only outlet to breaking the path dependence effect and pushing the institutional bifurcation. the innovativeness of the dissertation was manifested in the following facets : first, the two heterodox paradigms were concluded after a thorough and systematical retrospect ; second, a brand - new framework was established by embracing the two paradigms ; third, the concepts of risk and financial risk, especially their information and institutional contains, were expatiated under the framework ; fourth, the characteristics of china ' s economic structure and financial structure and their theoretical meanings were well concluded ; fifth, the commercial banking systematical risk and the stock market systematical risk of china were well explored and explained, and some solutions were reached

    文章創新之處主要體現在以下幾點:通過對既有文獻的廣泛深入了解,歸納出兩個可能對主流經濟學形成挑戰的經濟學研究範式;通過模化模擬,探討了將兩個範式相互融會貫通、從而建立起具有更好解釋能力和預測能力的理論體系的可能;在上述理論體系下對風險與融風險進行了經濟理論和經濟史理論層面上的闡釋;以上述闡釋為礎,對我國經濟結構與融結構特點進行了理論歸納,對我國目前的商業銀行系統風險與市場系統風險進行了深入剖析,並總結出可行的化解途徑。
  5. “ fundamental indexes : current and future applications. ” institutional investor ' s fifth annual exchange - traded funds review

    本面指數:現在和未來的應用。 」機構投資者的第五期年度交易所交易(又稱指數)評論。
  6. Corporate fund also known as the common fund, the fund refers to itself as a limited liability company, the company through the issuance of stocks or benefit vouchers way to raise funds

    公司又叫做共同,指本身為一家份有限公司,公司通過發行或受益憑證的方式來籌集資
  7. So this paper tries to solve these problems through the following work : first, we select some index to valuate the close - end funds, including income, stability, risk in falling, stocks selecting ability and tuning ability, based on overseas funds valuation methods and domestic market condition ; second, we analyze the stability of all index and form two styles index, which are f and other bad stability index ; then, we form the valuation system, including two - layers index, which are p and factor score ; last, we use this system to analyze the close - end funds which came into existence before 2000 and get the final comparative result. the main intention of this paper is to create the system of valuating close - end funds in our country, which is comprehensive and objective. in my valuation system involving the period from 2000 to 2003, the funds as a whole performs inferior to the stock index

    首先,對國外理論界經典成的、以及前沿的評價指標和評價方法進行了詳細的分析,並結合我國的市場狀況,選取了可以衡量收益、穩定性、下跌風險、選擇能力、時機選擇能力等量化指標;其次,根據我國分析的需要,採用了諸如交易價格、換手率等二級市場表現指標;然後,對這些指標進行了時間延續性分析,檢測這些指標在運用到我國市場時能否有效預測未來表現,從而形成了兩類指標:時間延續性很好的s _ p和時間延續性不好的其它所有指標;再次,在以上工作的礎上形成了由兩個層面的指標構成的我國證券投資評價體系: s _ p和因子分析中綜合因子得分值;最後,選取了我國2000年1月1日前成立的23隻封閉式作為樣本,並同時採用上證a與深成a兩個準組合進行了3年樣本期的實證分析,得出了最終的比較性評價結果。
  8. The paper point out that the most important risk is the redeem risk in the management of the open - ended fund, so the fund manager can reply on the management of redeem risk to the liquidity risk. according to the specialty management in the liquidity risk of the open - ended fund, there are three aspects : the first is that the fund holder structure problem ; the second is the restriction of the fund investment object and the problem assets assignment

    然後利用我國開放式的數據,通過granger因果關系檢驗得出了指數對開放式贖回風險有顯著影響的結論;由此構建出開放式的贖回資量函數和流入資量函數,並且得出相應的留存現的決策模和應對贖回風險的策略,並指出經理可以通過資產和負債兩個角度來對開放式進行流動性風險的管理。
  9. In the third part, this dissertation analyses the difference between traditional accounting and uncertainty accounting in the recognition and puts the ideas and standards of uncertainty into action. in the third part, it discusses enterprise pricing theory and market pricing theory. on the basis of them, it establishes some pricing models, such as rapport model, option model and eva model, etc to evaluate the value of asset, liability, equity, derivative instruments and contingent transaction

    討論了企業定價理論和市場定價理論對會計計量的影響,闡釋了影響會計計量不確定性的因素,然後對資產、或有事項、創業企業發行、期權、衍生融工具等計量的不確定性進行了研究,在此礎上,建立了期權、經濟附加值等多種計量模
  10. Measuring and appraising the market risk of stock open - end fund based on var

    的開放式股票型基金市場風險的測量與評價
  11. Every time you check your stocks or stock mutual funds, you ' re going to feel the pain

    每次看你的或者股票型基金的時候,你可能會感到痛苦。
  12. This paper constructs a equity fund performance evaluation system according to domestic practice by reviewing foreign evaluation methods

    本文在評述國外評價方法的礎上,結合我國的實際情況,建立了一套我國股票型基金績效評價系統。
  13. Will tell commonly, stock fund or slant model fund income is higher, the risk is bigger also, quite " gentle " the person that balance product fits preference of general moderate venture gains more

    一般來講,股票型基金或偏收益較高,風險也較大,比較「暖和」的平衡產品就更適合一般的中等風險收益偏好的人。
  14. The fund below banner of limited company of management of fund of an ancient name for china was obtained 2006 relative to better outstanding achievement, hold water full the accrual since this year is in stock of a year fund 100 % above

    2006年華夏治理有限公司旗下的都取得了相對較好的業績,成立滿一年的股票型基金今年以來的收益都在100 %以上。
  15. We can draw these conclusions through the analysis in the article : ( 1 ) the conflict between profitability and liquidity is the root of open - end funds liquidity risk ( 2 ) the security market in china is still developing with lots of speculators ( 3 ) the continious and stable development of security market is the precondition of open - end fund. most of open - end funds are in the type of stock, whose performance depends on stock market ( 4 ) so far, the merchanics in terms of block trade, processing trade, as well as derivatives of short sales and risk - hedging is still in progress, which restrict fund managers ' competence to control risk and increase their stress in dealing with liquidity risk

    ( 3 )證券市場持續穩定地發展是開放式得以長足發展的保障。現有的開放式絕大多數是股票型基金,其業績依賴于市向好,進而影響投資者是否持有的抉擇。 ( 4 )目前我國證券市場在關于大宗交易、程序化交易、做空機制和規避風險的融工具等方面的制度尚不健全,制約了管理人控制風險的能力,也加大了其面對流動性風險的壓力。
  16. For customers to use in the in - kind creation or redemption of exchange traded fund ( etf ) units

    九、供客戶因應指數證券投資信?之實物申購或買回。
  17. The term " exchange traded fund ( etf ) " used in these regulations shall mean a securities investment trust fund listed on the stock exchange which tracks an underlying index designed by or produced with the agreement of the stock exchange for which subscription and repurchase * * are based on physical delivery according to contract

    本辦法所稱指數證券投資信?,指在證券交易所上市,以追蹤證券交易所設計或同意編制之標的指數,且申購、買回採實物及依據契約規定方式交付之證券投資信?
  18. This thesis shows : ( 1 ) the liquidity risk of stock assert of the open - end fund shows an obvious tailed risk. ( 2 ) it can efficiently control the liquidity risk of the stock assert of the open - end fund by the cvar optimized model. ( 3 ) the proportion of the stock

    ( 2 )通過cvar調整的資產組合優化模可以有效地控制開放式資產組合的流動性風險。 ( 3 )資產的權重配置影響著資產組合的流動性風險的大小。
  19. Then, this paper introduce a new method of measuring the risk ? ? cohesive value at risk ( cvar ), which is more logical than the var on optimizing the portfolio according to the characteristic of the stock bargaining market of our country, it constructs a corresponding index of liquidity risk of the stock assert of the open - end fund, and by constructing a optimized model in cvar, the liquidity risk of stock assert of the open - end fund is efficiently controlled

    接著,本文引入了一種全新測量風險的方法cvar方法,並且根據我國交易市場的特點構造了相應的開放式組合的流動性風險指標,通過構造cvar調整的投資組合風險優化模有效的控制了資產組合的流動性風險。本文的研究表明: ( 1 )開放式組合的流動性風險具有明顯的尾部風險。
  20. Stock - oriented open - end fund is mainly invested in the stock market. generally speaking, in the long run stocks investment will yield more than the bond investment and the investment in monetary market. it is popular among the investors because the specialized management and experience in investing

    開放式主要投資于各種,從長期來看,投資的收益高於債券投資和貨幣市場工具投資,由於其具有專業化的管理,成熟投資經驗等特點,越來越受到廣大投資者的歡迎。
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