貼現息 的英文怎麼說

中文拼音 [tiēxiàn]
貼現息 英文
dis. , disc't-----------discount
  • : Ⅰ動詞1 (粘貼) stick; paste; glue 2 (緊挨) nestle up to; snuggle up to 3 (貼補) subsidize; h...
  • : Ⅰ名詞1 (現在; 此刻) present; now; current; existing 2 (現款) cash; ready money Ⅱ副詞(臨時; ...
  • : Ⅰ名詞1 (呼吸時進出的氣) breath 2 (消息) news 3 (利錢; 利息) interest 4 [書面語] (子女) on...
  • 貼現 : discount
  1. Study on no - arbitrage property of dividend discount model

    模型的無套利性質分析
  2. Info about the 2008 lottery system now posted

    在張的2008彩票系統的信
  3. An increase in the market price of a discounted bond resulting from an approaching maturity date, rather than from declining interest rates

    隨著到期日的臨近,而不是利的降低,造成的債券市價的上漲。
  4. Drawee bank ' s discount or interest charges and acceptance commission are for the applicant and therefore the beneficiary is to receive value for term draft as if drawn at sight

    付款行的及承兌傭金由開證申請人支付,因此受益人的遠期匯票將收到如即期匯票的金額。
  5. Members further considered that the various measures introduced since last september such as the discount window, the convertibility undertaking in respect of the aggregate balance, and the movement of the convertibility rate for the aggregate balance by 1 pip per calendar day from 1 april 1999 had already stabilised the monetary system. to reduce further the scope for variability in the overnight interest rate could have the effect of making the system too rigid

    此外,委員認為去年9月以來推行的各項措施包括窗總結餘兌換保證,以及1999年4月1日起總結餘兌換保證匯率每個公歷日調整1點子的措施已有效地穩定貨幣體系,若是進一步減少隔夜拆變動的空間,可能會使制度變得過份僵化。
  6. The main aim of the refinements was to correct significant distortions arising out of an accounting practice of including interest earned on discount paper mainly us treasury bills in revaluation gains or losses

    改進的主要目的是修正因會計方法而把票據主要是美國國庫券賺取的利包括在重估收益或虧損內所引起的明顯曲解情況。
  7. In effect, therefore, the discount rates put a cap on the interbank interest rates for short - term money, particularly for overnight money. there is no point in bidding for expensive money in the interbank market when banks can come to the discount window to borrow more cheaply, assuming of course that they have the eligible securities

    由於銀行只要持有合資格的債券,便可按貼現息率從窗借取資金,而沒有需要在同業市場以高拆入資金,所以率本身就像是短期銀行同業拆尤其是隔夜資金的上限。
  8. Replacing laf by a discount window with the base rate formerly known as the laf offer rate to be determined from time to time by the hkma

    窗取代流動資金調節機制,窗設基本利率前稱流動資金調節機制拆出率,由金管局不時釐定。
  9. If ha has switched from its previous policy of bearing most of the expenses for first - line drugs to arranging for the expenses of the existing and new first - line drugs to be subsidised by charity funds, and to conducting income and asset tests on the subsidy applicants

    (三)醫管局是否已改變過往提供第一線藥物的大部分費用的政策,並改為安排由慈善基金津有及新增的第一線藥物的費用,以及審查有關津申請人的入和資產?
  10. 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

    由於窗為銀行借取日終流動資金提供較大的保證,貨幣市場對資金短缺的反應顯得平靜及有秩序。隔夜港元銀行同業拆由5
  11. Discount the price of a bill of exchange after interest has been deducted. interest accumulates until maturity

    匯票扣除利后的價格。利累積到期限結束。
  12. The price paid upfront is the present value of all the future cash - flows of coupons and principal on matu - rity, discounted at the appropriate interest rate, which is also known as the yield to maturity ( ytm ) of the bond

    這筆錢就是投資者將來會收到的利和到期時會取回的本金的值,而所用的利率就叫做「到期利率」 。
  13. This paper makes use of the relevant theories of microeconomics, game theory and dynamic program to examine the dynamic pricing problem of a foreign firm that faces such an ad and administrative reviews policy on the condition that the foreign firm and the domestic firm are being at complete information and simultaneous determination, meanwhile analyzes factors affecting the foreign firm ' s product price in the export market ; and solve the theory problem of the dynamic pricing of export goods for our export firms, meanwhile conclude that our export firms and government should make it necessary to establish various guilds to unify and coordinate export price, export quantity and export areas

    摘要運用微觀經濟學、博弈論及動態規劃等有關理論,探討了在國內外企業處于完全信(即確定性)且同時決策的假設條件下,面對國內政府的反傾銷及行政復議,國外企業為實其在國內市場上所獲取的利潤值的總和達到最大化的動態定價問題,同時對影響出口產品的定價因素進行了簡要的分析;解決了我國出口企業出口產品的動態優化定價的理論問題,得出了我國出口企業、政府應從長遠的利益出發,建立各行業協會,避免各自為政、低價傾銷的被動局面,統一和協調各行業的出口價格、出口數量及出口地區等重要結論。
  14. Placements with banks and other financial institutions, certificates of deposit, consideration received or paid under repurchase and resale agreements, securities lending agreements, placements by banks and other financial institutions, placements by other hksar government funds for which interest is payable at market - based rates and placements by hong kong statutory bodies are valued according to a price matrix of discounted cash flows using applicable interest rates for discounting

    在銀行及其他金融機構的存款、存款證、根據回購及再出售協議收取或支付的代價、證券借貸協議、銀行及其他金融機構的存款、按?場利率計算利的其他香港特區政府基金存款及香港法定組織的存款均按照金流量的價格矩陣估值,並按適用利率進行
  15. Financial assets and liabilities which are traded in an active market are valued in the accounts at market value at the balance sheet date. fixed deposits, certificates of deposit, interest - bearing fiscal reserves account, placements by other statutory bodies and other borrowings are valued according to a price matrix of discounted cash flows using year end interest rates for discounting

    在活躍?場買賣的金融資產及負債均在資產負債表日期以?值入帳。定期存款、存款證、有財政儲備帳項、其他法定組織的存款及其他借貸均已按照金流量的價格矩陣估值,並按年終利率進行
  16. And in a show of solidarity meant to calm wall street ' s jangled nerves further, four large banks said they had taken advantage of lower interest rates at the fed ' s discount window to borrow money

    四大銀行今日宣布從美聯儲再窗口各貸入5億美金,這一消也在很大程度上撫慰了華爾街脆弱的神經。
  17. Themarket has since tumbled further from record levels of mid - july and thefed, raising worries about the market turmoil ' s effect on the economy, lowered the discount rate, the interest it charges banks

    市場自進一步下跌至創記錄水平,在7月中旬和美聯儲提高的擔憂,市場風暴的影響,對經濟,降低率,利,銀行收費
  18. In a few instances, the amounts involved were big relative to the aggregate balance, enough to push it into negative territory. in all such instances, interbank interest rates at the short end, in particular the overnight rate, firmed to near the level of the base rate at which licensed banks with exchange fund paper can access the discount window for liquidity assistance

    曾經有過幾次的例子,由於涉及的資金額相對總結餘頗為大,使總結餘變成負數,短期拆尤其是隔夜拆也隨之升至接近基本利率水平,這也是持牌銀行以外匯基金票據和債券作抵押向窗借錢所用的率。
  19. The move is due to the fact that fed funds target rate tracks more closely overnight london interbank bid rate, is a better indicator of us monetary policy and is transparent

    此舉是由於聯邦基金目標利率更緊倫敦銀行同業隔夜借入美元率以及更能反映美國貨幣政策,而且其透明度又與率一樣。
  20. Banks are charged the base rate with respect to the first 50 per cent of their holding of exchange fund bills and notes, but, for the next 50 per cent, base rate plus 5 per cent, or the overnight hong kong interbank offer rate ( hibor ) of the day, whichever is the higher

    銀行在窗借款不超過本身所持外匯基金票據及債券總數的百分之五十,將須按基本利率支付利;至於利用餘下的外匯基金票據及債券借款,則須按基本利率加5厘,或當日的港元隔夜銀行同業拆(兩者以較高者為準)支付利
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