資本增值債券 的英文怎麼說
中文拼音 [zīběnzēngzhízhàiquàn]
資本增值債券
英文
capital growth bond-
Securitization of bank assets refers to combined management and investment activities in which commercial banks, by making use of the legally representable nature of their credit assets and other claimable credits, put certain assets into asset - pools, issue asset - backed securities backed by the assets in the pools in order to transform the illiquid credit assets into cash assets. then the asset - backed securities are entrusted. upon the expiration of the securities ’ terms, the underlying assets are realized to repay the principals and interests of the securities
銀行資產證券化是商業銀行利用信貸資產和其他可主張的債權在法律上可被代表的特性,以確定的財產進入資產池為擔保發行資產支持證券,將沉澱的信貸資產變為現金資產,然後將該證券委以信託增值,在證券期滿時,變現擔保財產償還證券本息的一種組合經營和投資活動。As a developing country in the process of transmission, we suggest that china select a synthetical method to finance annuity, including the social insurance tax, pension bond, social insurance lottery, treasury compensation and selling national assets, etc. at the same time, in the aspect of operation, we combines fixed assets investment, company and financial investment, stock investment and commerce credit to decrease risk and increase the value of annuity
本文認為作為轉軌過程中的發展中國家,中國養老金籌資方式的選擇應綜合利用社會保障稅、養老保障國債、社會保障彩票、財政補貼和國有資產變現等方法,同時在運營方面要將固定資產投資、企業與金融債券投資、股市投資、商業信用等方法結合起來使用,以降低風險,確保增值。This paper introduces the theory of sustainable growth of companies and meanwhile thoroughly analyzes the subjective and objective factors affecting sustainable growth of listed companies in china. then with the sample of chinese a - stock listed companies which appear on stock exchange of shanghai and shenzhen before 1994, using sustainable growth model brought forward by robert higgins and james van herne and the mathematical statistic methods of means and wilcoxon. this paper tests the sustainable growth status of all sort of listed companies in china during the period from 1994 to 2000. meanwhile an empirical analysis is made in this paper by the factor method and regression to find out equilibrium relation among sustainable growth of chinese listed companies profitability capability of debt - repayment and capability of operation
然後藉助美國資深財務學家羅伯特?希金斯和詹姆斯?范霍恩的可持續增長模型,選擇我國1994年底以前在上海、深圳證券交易所上市的282家a股上市公司為研究對象,運用均值檢驗和威爾科克森的數理統計方法檢驗了我國上市公司1994 2000年度各行業的可持續增長的情況。本文還採用主成份分析法和多元回歸的方法,確定和解釋了影響我國上市公司可持續增長的主成份因素,並研究上市公司可持續增長與公司營運能力、償債能力和盈利能力的平衡關系。The fund seeks to provide a stable income stream and long term capital appreciation through a portfolio which mainly consists of hong kong dollar denominated investment grade rate baa3 or better by moody s or other credit rating agency of similar standing bonds
中銀香港港元收入基金是謀求透過一個主要由以港元為計價貨幣且具有投資評級(由穆迪或具有類似地位的其他信貸評級機構評為baa3級或以上)的債券組成的投資組合,以提供一個穩定的收入及長期資本增值。The fund seeks to provide a stable income stream and long term capital appreciation through a portfolio which mainly consists of hong kong dollar denominated investment grade ( rate baa3 or better by moody s or other credit rating agency of similar standing ) bonds
中銀香港港元收入基金是謀求透過一個主要由以港元為計價貨幣且具有投資評級(由穆迪或具有類似地位的其他信貸評級機構評為baa3級或以上)的債券組成的投資組合,以提供一個穩定的收入及長期資本增值。To achieve a stable rate of return with an opportunity for capital appreciation through a balanced weighting of investments in global equities and debt securities
透過平均投資于全球股票及債券市場,為投資帶來平穩增長,同時亦提供資本增值機會。To minimize short - term capital risk with modest capital growth over the long term through a higher weighting of investments in global debt securities to provide steady income and lower exposure to global equities to provide modest potential for capital appreciation
透過偏重投資于全球債券市場及較少比重投資于全球股票市場,為投資盡量減低短期資本波動。以維持穩定的資本價值及賺取平穩收益,同時亦提供若干長遠資本增值潛力。分享友人