證券投資管理 的英文怎麼說

中文拼音 [zhèngquàntóuguǎn]
證券投資管理 英文
portfolio management
  • : Ⅰ動詞(證明) prove; verify; demonstrate Ⅱ名詞1 (證據) evidence; proof; testimony; witness 2 (...
  • : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
  • : Ⅰ名詞1 (管子) pipe; tube 2 (吹奏的樂器) wind musical instrument 3 (形狀似管的電器件) valve;...
  • : Ⅰ名詞1 (物質組織的條紋) texture; grain (in wood skin etc ) 2 (道理;事理) reason; logic; tru...
  • 證券 : bond; security; negotiable securities
  • 管理 : manage; run; administer; supervise; rule; administration; management; regulation
  1. On the duty of securities investment fund manager

    基金人義務芻議
  2. And we come to the following conclusions : ( 1 ) looked from the returns ratio target that, all funds achievement are better than the market datum combination ’ s in the sample time, but the funds overall achievement is inferior to interest rate ; ( 2 ) after the modification of the risk factor, our mutual funds outguess the market ; ( 3 ) there is not enough evidence that indicate that chinese security investment funds have choosing ability in the market opportunity and choosing ability in the security. ( 4 ) the achievement in the past of the fund can not represent market manifestation in the future of the fund. this article innovation mainly has following several aspects : ( 1 ) have established the overall target of a appraisal fund achievement and gone on the real example to analyze with the mathematics model, having solved the inconsistency problem of appraising the result of many kinds of

    在此背景下,本文希望通過借鑒國外對基金業績評價方面的經驗,結合我國的國情嘗試盡可能真實的、多角度分析我國基金在不同市場時期的業績特點,如基金的回報及其承擔的風險,基金經的擇時能力和選股能力究竟怎樣,基金業績是否具有持續性等等,為基金者、監者、基金公司以及基金的發展提供一些參考,以引導社會源更多地流向擁有念、能力出色的基金公司,實現源的優化配置,進而推動市場念走向成熟。
  3. Using the net assets per capital, the investment return rate, the t - m model, the h - m model, the single factor evaluating model which consists of the treynor index, the jensen index, the sharpe index and the square m index, we evaluate the performance of the twelve mutual funds. and we come to the following conclusions : ( 1 ) after the modification of the risk factor, our mutual funds in the recent one year outguess the market ; ( 2 ) better performance comes from the aid of the government, the improvement of the investment environment and the hard, smart work of the managers especially in the way of selecting some securities in the capital market. ( 3 ) though we make progress, there are still many problems which prevent the further development of our mutual funds such as the devise of the management fee and the characteristics of different funds, all of them divided into the subjective ones and the objective ones

    通過使用基金單位凈產和收益率指標、單因素整體績效評估模型,包括treynor指數、 jensen指數、 sharpe指數和業績的m ~ 2測度以及t - m 、 h - m模型對12隻樣本基金進行實研究,實研究表明: ( 1 )經過風險調整后,在最近的一年中,我國基金的業績總體上優於市場基準組合; ( 2 )基金業績的提高得益於層的重視、環境的改善和基金經的經營,而基金經的良好業績是通過一定的選擇來獲得的; ( 3 )已成為市場上舉足輕重力量的基金在發展過程中雖然取得了一定的成績但其進一步發展還面臨著許多問題,有主觀存在的諸如費率的設定、基金風格方面的問題等等,也有客觀存在的諸如市場現階段的不完善等等,所以,我們應該抓住《基金法》問世帶給基金業發展的契機,大力促進基金規范發展,採取各種措施做大、做優和做強基金業。
  4. Securities and investment board sib united kingdom

  5. Especially, it is extremely difficult for fundholders of contractual type fund to change fund managers. by contrast, corporate fund can successfully coordinate interest among those related to investment fund through drawing in modern corporate g

    截至2002年底,國內共有19家基金公司,國內已募集完畢並宣告成立的基金總數已達到71隻,基金凈值總額達1300億元。
  6. To the end of december 2002, there are 15 standardized funds management corporations in china, they manage 54 contractual type close - end securities investment funds and 19 open - end funds. the assets size of securities investment funds in china reaches almost 100 billion yuan, correspond to about 10 % of the circulating market price of shanghai and shenzhen stock markets

    到2002年12月底,按規范化要求我國共成立了15家基金公司,了54隻契約型封閉式基金和19隻開放式基金,中國基金產規模約1000億元人民幣,相當于滬、深兩市流通市值10左右。
  7. The first funds management joint venture had been set up in october this year. funds market in china is enjoying another golden time with rapid growth and enormous development potentials. in face of increasing variety of funds with differing return and risk characteristics, investors get more and more concerned about how to select the proper funds that can best cater to their investment needs and risk tolerance

    建立一個公允準確的衡量基金風險、收益表現,比較不同基金價值,反映基金經和基金公司效率和水平的基金評價系統,已經成為維護者利益,保障基金業健康發展公平競爭,完善促進我國基金市場乃至整個本市場建設的重要內容和迫切需要解決的關鍵課題。
  8. During portfolio management, there are trade - impact cost, strategy - execution cost by free - rider, liquidity management cost and style - execution cost by style investment

    金存在特定的產組合成本,包括交易影響成本、免費搭車者引起的方案執行成本、開放式基金的流動性成本及特定基金的風格執行成本。
  9. If a securities investment trust fund operated by a site approved by the competent authority to engage in domestic futures trading wishes to apply for an exemption to position limits, the trust fund shall complete and submit the " application for a securities investment trust fund operated by a securities investment trust enterprise to open a futures trading hedge account " ( form 3 ) together with the required supporting documentation to the exchange

    四)依主機關規定得於國內期貨市場從事國內期貨交易之信託事業所信託基金,因避險需求而擬申請豁免交易規則之部位限制規定者,應檢具信託事業所信託基金設立期貨交易避險帳戶申請書(附表三) ,載明其應記載事項,連同應檢附書件,向本公司申請。
  10. The securities investment trust fund will be exempt from position limits required for each contract by their respective trading rules only after the exchange has approved the application and issued certifying documentation that may be used to open a hedge account with a futures commission merchant or to convert an existing trading account into a hedge account

    俟本公司同意並發給明文件,憑以向期貨商開設避險帳戶或將原交易帳戶變更為避險帳戶,並由期貨商函報本公司后,該信託事業所信託基金從事期貨交易,始得豁免交易規則之部位限制規定。
  11. Securities and investment board

    局英國
  12. Goldman sachs is a leading global investment banking, securities and investment management firm that provides a wide range of services worldwide to a substantial and diversified client base that includes corporations, financial institutions, governments and high net worth individuals

    高盛是一傢具領導地位的國際銀行、公司,為全球各地各行各業的重要客戶提供全方位金融服務,客戶包括企業、金融機構、政府和高產值人士。
  13. We urge the regulators to introduce such rules as soon as possible in order not to delay our common goal to further develop taiwan ' s asset management industry

    我們建議將信/顧公司發言人的決定權,交由信/階層決定。具格發言的員工即便不具備分析師執照,也可以對市場發展發表評論。
  14. The term " securities related products " used in these regulations shall refer to securities related financial products that have been approved for trading by the securities and future commission, ministry of finance ( hereinafter this " commission " ) in which securities investment trust enterprises use the assets of the securities investment trust fund for hedging operations or to increase investment efficiency

    本辦法所稱相關商品,指信?事業運用信?基金從事避險操作或為增加效率,經財政部暨期貨委員會(以下簡稱期會)核定準予交易之相關金融商品。
  15. Article 4 the securities committee of the state council or its supervision and management and executive organization the china securities supervision and management committee may reach understanding or an agreement with securities supervision and management organizations abroad to exercise cooperative supervision and management of the limited stock companies in their activities of issuing and listing their stocks abroad and other relevant activities

    第四條國務院委員會或者其監督執行機構中國監督委員會,可以與境外監督機構達成諒解、協議,對股份有限公司向境外人募集股份並在境外上市及相關活動進行合作監督
  16. This article introduces the whole operating and managing system of chinese open end fund. it is included the origin and development of open end fund, experience and lessons of foreign open end fund development ; the classification of the open end fund and its deference from other securities ; the features of the open end fund and its establishment, transaction and structure of fees ; the operation and profit - allocation of the open end fund ; the consultation of agents

    開放式基金在我國還是新生事物,本論文將系統地介紹分析我國開放基金的整個運作體系,包括:開放基金的起源與發展,國外開放式基金發展的經驗與教訓;基金的分類及與其他有價的區別;開放式基金的特點及發起設立、交易及費用結構;開放式基金的運作及收益分酉幣主通大學頎士研究生學位論文霓11頁配:代銷機構對者的咨詢服務。
  17. China galaxy provides a wide range of services nationwide, including stock brokerage, securities custody, proprietary trading, securities underwriting and listing sponsorship, corporate restructuring, merger & acquisition, investment and financial consultancy, asset management, launching securities investment funds and establishing fund management companies

    公司業務范圍包括:買賣;代還本付息、分紅派息;代保、鑒、代登記開戶;的自營買賣;的承銷和上市推薦;企業重組、收購與兼并;咨詢、財務顧問;;發起設立基金和基金公司。
  18. We aim at using and selecting the different elements of the global investment universe and combining them into an optimal offer of portfolio management mandates for our clients

    我們的目的,就是從各種各樣的載體中運用並選擇不同的元素,將它們組合起來,為我們的客戶提供最佳的證券投資管理委託書。
  19. Along with the publicizing of provisional managing rules of qfii by pbc and csrc, qfii will come into the domestic stock market soon. although qfii brings energy to the domestic stock market, it also make a challenge to the supervision on the stock market

    2002年11月7日隨著中國人民銀行和中國監會聯合發文出臺《合格境外者境內證券投資管理暫行辦法》 ,已經鼓吹了兩年多的qfii ( qualifiedforeigninstituteinvestor )亦將進入中國的市場,成為中國市場有史以來最大的開放步驟。
  20. Based on the internal control framework of coso and the enterprise risk management, considering the status quo and need of internal management of guotong corp., the case study method is adopted to put forward a management risk aversion mechanism with internal control as its core and enterprise risk management as its target, thus evading the risk management of portfolio investment

    筆者參考美國舞弊性財務報告委員會成立的專門研究內部控制的委員會? ? coso委員會提出的內部控制框架,及其最新提出的全面風險論,結合國通公司內部的現狀及需求,採用案例分析方法提出了構建以內部控制為核心的、以全面風險為目標的風險防範體系,以規避證券投資管理風險的設想。
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