資產凈額 的英文怎麼說

中文拼音 [chǎnjìngé]
資產凈額 英文
bet a ets
  • : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
  • : Ⅰ動詞1 (人或動物的幼體從母體中分離出來) give birth to; be delivered of; breed 2 (創造財富; 生...
  • : Ⅰ形容詞1 (清潔; 干凈) clean 2 (凈盡;沒有剩餘) empty; hollow; bare 3 (純) net Ⅱ動詞(使干凈;...
  • : 名詞1 (額頭) forehead:寬額 a broad forehead2 (牌匾) a horizontal tablet 3 (規定的數目) a sp...
  • 資產 : 1. (財產) property; means 2. (資金) capital fund; capital3. [經] (資金的運用情況) assets
  1. The balance sheet starts with the total cost of its fixed assets and any trade investments followed by a breakdown of net current assets.

    負債表一開頭是公司的固定和公司的投,接著是流動分類。
  2. To ensure that public housing resources are rationally allocated, the ha has since 1987 reduced the subsidy to better - off tenants by requiring them to pay higher rents pegged to their household income. since may 1996, tenants paying double rent and with net asset values exceeding prescribed limits, and tenants who choose not to declare their assets, have been required to pay market rent

    為確保公屋源能合理分配,房委會自一九八七年起削減對經濟條件較佳的租戶的助,規定這些租戶須按家庭入息繳交較高租金。自一九九六年五月起,繳交雙倍租金而值又超過指定限的租戶,或選擇不申報者,均須繳交市值租金。
  3. The equation shows that 9 finance index have important relationship with default ratio, they are roe, debt ratio, asset turnover ratio, gross profit ratio, scale of assets, currency ratio ( [ currency + marketable securities ] / current liability ), debt structure ( current liability / total debts ), currency / daily revenues and quality of assets ( accounts receivable / total assets )

    回歸方程表明,違約率與以下9個財務指標的組合密切相關:收益率、負債率、總周轉率、毛利率、規模(對數) 、現金比率(現金類流動負債) 、債務結構(短債總債務總) 、日銷現比(現金與有價證券日銷售) 、質量(應收賬款) 。
  4. Article 124 the total amount of external liabilities of a securities firm may not exceed the prescribed multiple of its net assets, and the total amount of its current liabilities may not exceed a certain proportion of its total current assets. the specific multiple, proportion and administrative measures shall be prescribed by the securities regulatory authority under the state council

    第一百二十四條證券公司的對外負債總不得超過其的規定倍數,其流動負債總不得超過其流動的一定比例其具體倍數比例和管理辦法,由國務院證券監督管理機構規定。
  5. Article 18 if the amount in surplus after the deduction of enterprise ' s undistributed profits, various funds and liquidation expenses from the net amount of assets or the remaining property of a foreign investment enterprise that is under liquidation exceeds the actual amount of contributed capital, the portion in excess shall be the liquidation income on which the income tax shall be charged in accordance with the provisions of this law

    第十八條外商投企業進行清算時,其資產凈額或者剩餘財減除企業未分配利潤、各項基金和清算費用后的余,超過實繳本的部分為清算所得,應當依照本法規定繳納所得稅。
  6. Investors in securitisation bonds need to be aware of the relativity between the net revenue of the assets involved and the amount of repayment required

    購買證券化債券的投者要注意收入與還款的關系。收入高於還款的數越大,投風險便會越低。
  7. Net asset limit

    值限
  8. Average managed net financed assets

    所管理的已籌資產凈額平均值
  9. N. q. a. net quick assets

    速動資產凈額
  10. Net financed assets

    已融資產凈額
  11. At the end of 2001, the net external financial assets of hong kong amounted to us 272 billion

    年底,香港的對外金融資產凈額達2 , 720億美元,相當于
  12. In fact, the whole of hong kong has net external assets claims on non - residents less liabilities to non - residents equivalent to 210 per cent of gdp. this is by far the highest ratio in the world

    事實上,香港整體的對外資產凈額對非居民債權減去對非居民負債相當于本地生總值的210 % ,這是全球最高的比率。
  13. Whatever the reasons behind the offsetting flows in the capital account, the increasing surplus in the current account means that the net foreign assets of hong kong individuals and institutions, already the highest in the world when measured against gdp, will increase further

    無論本帳流出流入的理由是甚麼,往來帳盈餘增加,顯示了本港居民及機構持有的境外資產凈額
  14. Unit - holder realizing his units before the maturity date will receive a realization price equal to the net asset value of each unit realized less all applicable charges and rounding adjustments

    于到期日之前贖回單位的持有人,所收取的贖回價,將相等於每個贖回單位的值減除一切適用收費及數字調整
  15. Unitholders redeeming units before the maturity date will receive a redemption price equal to the net asset value of each unit redeemed less all applicable charges, including the early redemption charge and rounding adjustments

    于到期日之前贖回單位的持有人,所收取的贖回價,將相等於每個贖回單位的值減除一切適用收費,包括提前贖回收費及數字調整
  16. Unitholders redeeming units before the maturity date will receive a redemption price equal to the net asset value of each unit redeemed less all applicable charges and rounding adjustments. the redemption of units will not be subject to any redemption charge

    于到期日之前贖回單位的持有人,所收取的贖回價,將相等於每個贖回單位的值減除一切適用收費,包括提前贖回收費及數字調整
  17. As most of the fees and expenses and the establishment costs are charged upfront, investors redeeming units before the maturity date will have borne the total fees and expenses for the whole investment period and this will be reflected in the net asset value per unit applicable

    由於大部分費用及支出及成立費用均已預先收取,投者于到期日之前贖回單位須承擔整個投期內的費用及支出總,而這些費用及支出將會在每適用單位值中反映
  18. White form applicants ( mainly living in private sector housing ) are subject to a domestic property restriction, net asset limits and income limits

    白表申請人(主要在私人樓宇居住)在擁有住宅物業方面受到限制,而且值及收入不可超過限
  19. Consequently, the fundamental value of close - end funds should be equal to the net asset value ( nav ) per share

    既然封閉式基金不能獲得超收益,那麼它的內在價值就應該等於基金的值。
  20. Redemptions before the maturity date are fully exposed to fluctuations in the net asset value of each of the sub - funds. investor who redeems the sub - fund ( s ) prior to the maturity date is subject to an early redemption charge and the redemption value may be lower than the 100 % guaranteed amount

    在到期日前贖回成份基金的投者,將完全受到基金值波動的影響,並須繳付提前贖回收費,贖回價格可能會低於保證金
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