證券管理信託 的英文怎麼說

中文拼音 [zhèngquànguǎnxìntuō]
證券管理信託 英文
securities administration trust
  • : Ⅰ動詞(證明) prove; verify; demonstrate Ⅱ名詞1 (證據) evidence; proof; testimony; witness 2 (...
  • : 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. 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投資事業所投資基金,因避險需求而擬申請豁免交易規則之部位限制規定者,應檢具投資事業所投資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。
  2. 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,該投資事業所投資基金從事期貨交易,始得豁免交易規則之部位限制規定。
  3. The main scope of bcpa s business entrusted by the chinese - foreign joint ventures, the chinese - foreign contractual joint ventures, the foreign capital enterprises and other foreign economic organizations, big and medium sized state enterprises, share - holding companies with limited liability and companies with limited liability, to prepare feasibility s study and analysis for investment and development projects of enterprises ; to undertake assets valuation ; to verify the capital of enterprises ; to formulate accounting systems ; to design computerized program for accounting ; to keep accounts for clients ; to offer consultation service and prepare tax returns for clients ; to audit accounting statements for enterprises ; to audit statements of securities business ; to undertake the auditing work of enterprises in their merger, separation and liquidation ; to do the required auditing when the legal representative of an enterprise leaves his her post ; to serve as the standing accounting advisers for enterprises ; to help draft contracts, articles of association and economic documents ; to prepare analysis of economic activities and forecast of operating activities ; to train accounting financial management personnel and to examine evidences in economic cases, etc. by offering high efficiency, fine quality and comprehensive service and outstanding performance bcpa has gained the confidence o its clients and established good and stable and 3, 000 clients

    本所業務范圍主要是:接受中外合資中外合作外商獨資和其他外商經濟組織,以及國有大中型企業股份有限公司有限責任公司等的委,為企業投資開發項目進行可行性研究分析承辦資產評估驗企業資本設計會計制度編制會計電算程序代記帳提供咨詢服務稅務代服務受企業會計報表審計業務審計企業合併分立清算事宜中的審計企業法人離任審計為企業承擔常年會計顧問協助擬定合同章程和經濟文件經濟活動分析和經營活動預測培訓會計財務人員以及鑒經濟案件等項業務。本所以高效優質全面的服務,卓著的業績取得了廣大客戶的任,與3000餘家客戶建立了良好的穩定的合作關系。
  4. I the nominee shall hold the securities in its name as bare trustee and nominee for the customer by execution of a declaration of trust, the name of any account in which such securities are held shall, for the avoidance of doubt, indicate that the nominee holds the securities on trust for a third party and, if practicable, the customer, and the securities shall be held in the safe custody of the nominee upon the terms hereof

    I 01代公司將簽訂一份聲明書,以客戶之純受人及代名人的身份持有, 02為免生疑問,在任何賬戶持有該等,該等賬戶須顯示代公司為第三者或在可行之情況下為客戶持有該等,及03而需根據此等條款,由代公司安全保
  5. A site that operates a securities investment trust fund engaging in futures trading or holding open futures trading contract positions pursuant to the " directions for use of securities investment trust funds for trading in securities related products by securities investment trust enterprises " promulgated by the competent authority shall file a report electronically to the exchange by 5 : 00 pm each business day, entering the details into each of the corresponding fields on the computer interface provided by the exchange

    二)投資事業所投資基金依主機關公告之投資事業運用投資基金從事相關商品交易應行注意事項規定,從事期貨交易或持有期貨交易契約未沖銷部位者,應于每一營業日下午五時前,采媒體申報方式,依本公司電腦輸入畫面所列事項逐一輸入。
  6. Site that operates a securities investment trust fund engaging in futures trading or holding open futures trading contract positions pursuant to the " directions for use of securities investment trust funds for trading in securities related products by securities investment trust enterprises " promulgated by the competent authority shall file a report electronically to the exchange by 5 : 00 pm each business day, entering the details into each of the corresponding fields on the computer interface provided by the exchange

    二)投資事業所投資基金依主機關公告之投資事業運用投資基金從事相關商品交易應行注意事項規定,從事期貨交易或持有期貨交易契約未沖銷部位者,應于每一營業日下午五時前,采媒體申報方式,依本公司電腦輸入畫面所列事項逐一輸入。
  7. A securities investment trust fund operated by a site that has not been approved by the exchange for a hedge account but has a regular trading account to engage in futures trading shall report to the exchange pursuant to the preceding subparagraph

    二)投資事業所投資基金依主機關公告之投資事業運用投資基金從事相關商品交易應行注意事項規定,從事期貨交易或持有期貨交易契約未沖銷部位者,應于每一營業日下午五時前,采媒體申報方式,依本公司電腦輸入畫面所列事項逐一輸入。
  8. This thesis falls into four parts :. the first part will make a comparative analysis of various definitions of fhc and puts forward that fhc, set up according to the law, is a corporation, such as bank, securities company, trust company or other financial companies. fhc can possess its own business as well as only manage its subsidiary company

    本文共分為以下四個部分:第一個部分在比較世界各主要國家和地區對金融控股公司不同界定的基礎上,提出金融控股公司是指依照法律規定成立,對銀行、公司、保險公司、公司或其它依法成立的金融控股公司等金融企業中的一家或一家以上控制性持股的公司,該公司既能夠僅以控制子公司為其業務,也可以擁有自己經營的業務。
  9. Article 6 securities business shall be engaged in and administered as a business separate from the banking business, trust business and insurance business

    第六條業和銀行業業保險業分業經營分業
  10. " institutional investor " as used in the directions is limited to securities firms, foreign institutional investors, securities investment trust funds operated by securities investment trust enterprises ( " site " ), the national finance stabilization fund, the civil servant pension fund, the labor pension fund, the labor insurance fund, and the funds managed by the directorate general of postal remittances and savings banks, and other financial and insurance institutions that engage in futures trading within the bounds mandated by the competent authority

    本應行注意事項所稱法人機構限於依主機關規定?圍內從事期貨交易之商、外國機構投資人、投資事業所投資基金、國家金融安定基金、公務人員退休撫恤基金、勞工退休基金、勞工保險基金、郵政儲金匯業局所之郵政資金、金融及保險機構為限。
  11. Respondents generally consider that the administration s proposed approach is the correct one, " the spokesman said. under the proposal in the bill, offshore funds, i. e. non - resident entities which can be individuals, partnerships, trustees of trust estates or corporations administering a fund, are exempt from tax in respect of profits derived from dealings in securities, dealings in futures contracts and leveraged foreign exchange trading as defined in the securities and futures ordinance cap

    根據草案中的建議,離岸基金,即指非居港的實體可以是基金的個人合產業的受人或法團,在香港進行按及期貨條例第571章所界定的交易期貨合約交易及杠桿式外匯交易而獲得的利潤,可獲豁免繳稅。
  12. Chapter three : the financial operation system in china also witnessed a series of reforms. and it analyses the " sub - mixed operation system " which includes the cooperation between the money market and capital market and the mixed financial conglomerates in china as well. in 1989. the government began to regulate the financial market by enacting a series of laws and regulations and setting up supervisor ) " institutions such as ssc and isc managing banking. security. insurance and trust sectors separately. the separated management of financial system has been basically shaped in 1998. but over the past few years. the separated system in china is somewhat loosen due to the effect of international trend of financial integration. the money market, capital market and insurance market are to some extent permitted to cooperate with each other by the government. many financial institutions make mixed financial conglomerates to extent their operation field. the banking capital and insurance also have access to the security market in some way and to some size. and the appearance of mixed financial conglomerates push our financial sectors into the mixed operation

    包括逐步實現利率的市場化;加強金融法規的建設;加強金融監力度,建立安全穩定的金融監體系;加快我國資本市場的建設;加快金融企業的上市工作,增強金融企業的競爭力;加快銀行改革的步伐,建立銀行的內控制度和風險約束機制。二是金融業務的相互交叉化、融合化。在組織模式方面,金融企業可以通過收購、兼并、重組等手段組建集銀行、、保險、、實業於一身的大型金融控股集團;在資金流動方面,可以加強金融企業之間的資金流動,通過開發更多、更好、更安全的資金流通渠道,促使資金的合流動和充分利用;在業務合作方面,銀行、、保險三方之間相互合作,通過業務代、開發交叉業務、共享客戶等方面開展全方位的合作。
  13. Securities investment funds ( mutual funds ) means a way of aggregative securities investment, in which the interests and risks are shared together by pooling the capitals of the investors through issuing funds unit and transferring it to the trusteeship of the trustee, which are managed and operated by the funds managers who engage in the investment of the financial tools such as stocks, bonds, etc. as the combinative product of the trusteeship system and modern financial system, its trust design of transferring properties to the management of experts enable the investors to gain rich returns as well as avoid the risks, which gains the much favor of the investors

    投資基金(共同基金)是指通過發行基金單位,集中投資者的資金,由基金,由基金和運用資金,從事股票、債等金融工具投資的一種利益共享、風險共擔的集合投資方式。作為制度與現代金融制度結合的產物,以轉移財產為專業人員設計,使得投資者既避免了風險,又獲得豐厚的回報,倍受投資者青睞。世界共同基金自1868年在英國誕生以來已有上百年歷史,我國的投資基金則是在1991年才真正起步,而真正意義上的投資基金更是近幾年來的事。
  14. Securities administration trust

    證券管理信託
  15. Citibank is the industry s premier custodian of cross - border assets, top - ranked global clearer, and recognized leader in depositary receipt services and agency and trust services

    花旗銀行是業內跨境資產的主要機構具有領先地位的全球結算機構,以及預托服務代服務的表表者。
  16. But the foundation of cis is the mechanism that is ca1led cis governance which c2 [ n protect investment interest effecti ve1y because the mora1 hazdrd exist s more seriously in cis than in other financial instruments such as bank deposit, stock and bond

    投資基金發展的前提是對基金投資者的保護,也就是有一個好的基金治結構。不論是從委論來說,還是從消費論來說,總是存在息不對稱產生的基金人的道德風險問題。
  17. In 1989, the government began to regulate the financial market, enacting a series of laws and regulations, setting up supervisory institutions such as ssc and isc and managing banking, security, insurance and trust sectors separately. the separated management of financial system has been basically shaped in 1998

    我國從1989年開始對金融市場進行整頓,通過制訂一系列法律法規,成立了監會、保監會等監機構,對銀行業、業、保險業、業實行分隔,至1998年基本確立了我國的分業金融體制。
  18. Article 29 where a qdii or investment consultant selects or entrusts a securities service institution outside the territory of china for buying and selling securities, it shall severely perform the fiduciary responsibility, and manage the procedures of investment transactions, the information disclosure and the records keeping in accordance with related provisions

    第二十九條境內機構投資者、投資顧問挑選、委境外服務機構代買賣的,應當嚴格履行受責任,並按照有關規定對投資交易的流程、息披露、記錄保存進行
  19. Supporting the self - management, encouraging the outsourced operation, and promoting the specialized service by bringing into play the role of the financial institutions of banks, insurance companies, securities houses, fund managers and trust companies

    支持自我,鼓勵外包運作,發揮銀行、保險、、基金、等金融機構作用,推行專業化服務。
  20. The thesis points out that the nature of conflicts of interest is the conflicts between the fiduciary ’ s self - interest and the interest of principal in a given fiduciary relation. securities investment fund is a typical kind of fiduciary relation, so its interest conflicts exist between the self - interest of fund manager as well as custodian who both act as fiduciaries and that of fund acting as principal

    投資基金利益沖突是指在投資基金這一典型賴關系中,基金人、人(或其關聯人士)的個人利益與基金利益之間的沖突,表現為關聯交易利益沖突、基金費利益沖突和個人交易利益沖突三種形式。
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