貨幣市場銀行 的英文怎麼說

中文拼音 [huòshìchǎngyínháng]
貨幣市場銀行 英文
money market banks
  • : Ⅰ名詞1. (貨幣; 錢) money 2. (貨物; 商品) goods; commodity 3. (指人, 罵人的話) 4. 動詞[書面語] (出賣) sell
  • : 名詞(貨幣) currency; money; coin
  • : 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] (...
  • : Ⅰ名詞1 (金屬元素) silver (ag) 2 (姓氏) a surname Ⅱ形容詞1 (跟貨幣有關的) relating to curr...
  • : 行Ⅰ名詞1 (行列) line; row 2 (排行) seniority among brothers and sisters:你行幾? 我行三。where...
  • 貨幣 : money; currency
  • 銀行 : bank
  1. Money market a market for short - term securities such as bank bills, commercial paper, etc. usually having a maturity of le than 1 year

    短期有價證券,如匯票、商業票據等,通常票據到期時間小於1年。
  2. Money market a market for short - term securities such as bank bills, commercial paper, etc. usually having a maturity of less than 1 year

    短期有價證券,如匯票、商業票據等,通常票據到期時間小於1年。
  3. 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

    保險資金可以投資的品種包括存款、商業票據、票據、大額可轉讓存單、債券、基金、債券型基金、股票、全球存托憑證、美國存托憑證、股票型基金等。
  4. The bank made it clear that it was not aiming to bring down three - month lending rates, which are the markets ' most acute pressure point

    清楚地表明其意並非拉低三個月拆出利率這一最靈敏地壓力點。
  5. The chief participants in the euromarkets are the london banks, the overseas branches of american banks and commercial banks on the continent and in other parts of the world

    歐洲的主要參與者是倫敦的,美國在海外的分支,以及美洲大陸和世界其他各地的商業
  6. 1 ) if bank capital are forbidden thoroughly to get into stock market, it will bring low profit on monetary market, constrict the development of capital market and affect the transmission of monetary policy ; 2 ) vice versa, allowing bank capital to flow into stock market too early may also lead to unfavorable effects, such as endangering financial stability, disturbing financial order and constraining the development of economy

    ( 1 )限制資金入,造成了收益率低下,商業、保險公司在上融出資金基本無利可圖,只好通過各種途徑違規進入股;使資本失去資金支持,不僅造成流動性不足,還因缺乏基準利率參照而難以形成合理的定價機制,制約了資本的發展;影響政策的傳導,與資本的關聯性低,政策信號受阻,傳導路徑相對單一,政策效應的時滯加大。
  7. We should attach more importance to following channels at present time : broaden monetary market function ; perfect stock mortgage loan ; develop investment institute ; explore investment banking business, including investment funds business channel, insurance business channel and security business channel ; make financial organization renovation. following policy suggestions should be applied : 1 ) perfect the policy environment ; 2 ) treat the problem rationally ; 3 ) implement financial mixed operation system in due time ; 4 ) foster financial market ; 5 ) enhance external supervision ; 6 ) deepen the construction of commercial banks ; 7 ) introduce bank capital into stock market in stages

    和資本的不協調發展使證券機構出現制度外與體制外融資或違規操作,必須在兩個間建立資金和信息對流的寬敞通道,在路徑設計上,當前應擴展同業拆借、國債回購渠道功能;完善股票質押貸款,及時推出非券商股票質押貸款,並注重風險防範;大力發展養老基金、保險公司、信託基金等機構投資者,吸收資金間接入;拓展投資業務,包括基金、保險業務渠道、券商業務渠道、公司業務渠道;設立證券金融公司或金融控股集團,進組織制度創新。
  8. If the money - market funds then withdraw even more of their longer - term lending from the banks, then banks will need to conserve yet more capital

    如果此時基金發生了大面積贖回,額度超過了其在的長期存款額,那麼的褲腰帶又要勒緊幾分了。
  9. As a result, banks are hoarding their capital rather than lending it in the money markets

    結果是,不再在拆出資金,而是保住其資產。
  10. Based on the analysis of commercial banks " current concept about fund management, this paper brings forward that fund management is the main - string in its operation, and that the concept of fund management, including security and profitability, is extended from current " forrying fund " to the management of the fund cost and fund risk the paper comprehensively discusses the principle of fund management, the management of fund costs, the tactics of management about fund liquidity, the measures of management about fund risks and how to solve the problems on interest risk in the period of frequent interest fluctuation. the paper puts forward ideas on how to improve the fund management. the security, liquidity and profitability of the fund, which are both contradictory and integrated with one another, are internal factors of fund management. fund liquidity is traditional core question. commercial banks face with a number of risks of witch credit risk is the greatest one because our country has adjusted interest rates 8 times since 1996, which covered a period of frequent interest fluctuation

    商業面對許多風險,但最大風險是信用風險。由於我國自1996年以來已連續調整了8次利率,近幾年是利率波動頻繁時期,研究利率的敏感性問題顯得特別重要。要改善資金管理,提高商業的經營水平,就要建立資金管理是商業經營主線的理念,對資金要統一規劃和管理;要改革的體制,建立現代企業制度和法人治理結構,在體制上為資金管理提供有利的運平臺;增加改善資金流動性管理所需的政策工具,擴大資金調控手段;打破的僵化局面,為資金管理創造有利的宏觀環境;續續優化負債結構和負債載體設計;增強資金信用風險規避和化解的措施;通過資源整合,努力尋找資金的安全投放渠道,最終完成經營模式由傳統型向現代型的轉變。
  11. Helped by a greater assurance of day - end liquidity through the discount window, the money market reacted calmly and in an orderly manner to the liquidity shortage

    由於貼現窗為借取日終流動資金提供較大的保證,對資金短缺的反應顯得平靜及有秩序。隔夜港元同業拆息由5
  12. The fed and the bank of england have made it clear they are not adding overall liquidity to the markets ( to the extent that they add money, they will take it away elsewhere )

    美聯儲和英格蘭已經明確表示他們不會造成流動性過剩,也就是說他們現在直接向注資,也會在其他的地方回籠資金。
  13. And then 1 will give a empirical analysis to get some conclusions on the base of the data. the mainly conclusion are : finance development do contribute to china ' s economy ' s growth and in which the commercial bank play the major role while the capital market in the representative of the stock exchange do n ' t play any role to china ' s economy, and the authority ' s monetary operations will help the economy ' s growth

    本文對數據所形成的實證研究所得出的最終觀點包括:金融深化整體上對經濟增長產生正向作用;金融體系中的商業發展對中國經濟增長的作用很明顯;中國證券的發展並沒有對中國的經濟增長形成有力的支持;通過調節存量,可以對經濟增長氏形成一定的正向作用。
  14. As the hkma passively bought the hong kong dollars sold to it by the banks in accordance with the discipline of the currency board system, the sum of the clearing balances of the banking system ( the aggregate balance ) fell from $ 8. 1 billion on january 5 to a negative figure of $ 2 billion on january 9. in response to the tightness in the money market, the overnight hibor rose from around 4 per cent to an intraday high of 13 per cent on january 9 and further to 15 per cent on january 12

    點。根據局制度的規則,金管局被動地購入向其出售的港元,體系的結算餘額(總結餘)由一月五日的81億元減至一月九日的負20億元。資金緊絀的情況,導致隔夜港元同業拆息於一月九日由4厘左右攀升至13厘的全日最高位,並於一月十二日再升至15厘。
  15. The first section is about the main function of bond market, and the second section is about the importance and indispendance of bond market. chapter two is about some essential problems of bond market, composed of four sections. the first section analyzes problems of inter - bank bond market, the second section analyzes problems of bourse bond market, the third section discussed the interest rate system of bond market, which is the benchmark of the whole market, the forth section analyzes problems of bond market media

    本章共分四節,基於債券跨越了和資本兩個的特性,前兩節分別從和資本的角度剎析了債券存在的問題,間債券被定位於,交易品種則以國債為主;作為資本的債券則主要包括在交易所交易的中長期企業債以及將來將形成的金融債,對於他們存在的問題,本章一一進了闡述。
  16. And path dependence theory, marginal theory and optimizing theory are applying in this paper. this article ends up with a few of hypotheses below : at present, retail exposures of credit risk may be valuated by multi - factors score ; company ones of credit risk may be valuated by modified specialist method ; and bank ones of credit risk may be valuated by quasi modern credit risk valuation model ; the destination is to get to the same way to modern credit risk valuation model by which all kinds of risk can be valuated, by the means of motivational transition or compelled one of the institute

    在此基礎上,以會計/數據可得性和有效性、金融發育程度、利率化深度、公司治理結構的完善度以及信用工具本身的特徵(尤其是衍生金融工具)等因素作為細分依據,將我國商業中信用風險暴露(嚴格意義上來說,為了突出本文的觀點,本文僅僅是對商業的部分風險暴露)劃分為:零售信用風險暴露、公司信用風險暴露? ?對大型企業集團的信用風險暴露和信用風險暴露? ?對質優上公司的信貸業務、業務以及金融衍生產品業務等。
  17. At the end of last week, overnight interbank money market interest rates in the eurozone ? the cost to banks of borrowing overnight from their counterparts ? had returned to normal at just above the european central bank ' s 4 per cent policy rate

    上周末時,歐元區隔夜拆息(代表同業之間拆借隔夜貸款的成本)已回歸正常,僅略高於歐洲央4 %的政策利率水平。
  18. The clearest signs of continuing liquidity stresses have been in the money markets, where banks lend to each other

    持續流動壓力已經在間互相拆借的發出了再清晰不過的信號。
  19. Particularly in recent years, the central bank of china expands open market operations through the inter - bank bond market, supply and take back the base money on a large scale, and regulate the money supply and the money market interest rate, which deeply influence the commercial banks " credit scopes

    尤其是近年來,央間債券持續、大規模地開展公開業務操作,大規模吞吐基礎,調節供應量和利率,進而影響商業信貸規模。
  20. The nation ' s largest banks are often referred to as money market banks or money center banks

    國家最大的通常稱為貨幣市場銀行中心
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