資金管理人 的英文怎麼說
中文拼音 [zījīnguǎnlǐrén]
資金管理人
英文
money manager- 資 : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
- 金 : Ⅰ名詞1 (金屬) metals 2 (錢) money 3 (古時金屬制的打擊樂器) ancient metal percussion instrum...
- 管 : 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;...
- 理 : 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...
- 資金 : fund; capital
- 管理人 : administrant
- 管理 : manage; run; administer; supervise; rule; administration; management; regulation
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Cerberus capital management, a private equity company in new york, will buy an 80 % share
西伯瑞斯資金管理公司,一個紐約私人股本公司將購買百分之八十的股份。Secondly, the paper brings out problems which are need to be solved as emphases by analyzing objectively the plant ' s cost control actuality, the existing problems and its reasons. the analysis indicates that because of high dependence on planned economy, exterior factors seriously restricting the reasonable price of fuel, the electrovalence being made by exterior, the deficiency of its interior mechanism and the big random of cost control, the enthusiasm that the plant manages and controls cost independently is badly hurt. thirdly, aiming at these leading problems, applying the present cost control theory and the main cost control methods of electricity enterprises both home and abroad, the paper designs and evaluates its cost control project at these aspects of productive technology, management, logistic control, financial management and the manpower cost, and lodges corresponding cost control project of every tache
論文首先對當今國內外成本控制理論研究現狀和應用現狀進行了分析,包括成本性態分析、成本控制內容分析及成本控製程序與方法的分析,為論文研究打好了理論基礎;其次客觀全面地分析了永昌電廠成本控制的現狀和存在問題及其產生原因,其中包括計劃經濟色彩濃厚、外部因素嚴重製約燃料成本的合理配比、電價確定權在外,它嚴重挫傷企業成本管理與控制的自主積極性,也包括企業內部機制不全、成本控制的隨意性大等問題,這為本論文提出了需要重點解決的問題;然後針對永昌電廠在成本控制方面存在的主要問題,應用當今國內外成本控制的主要理論和發電企業成本控制主要方法,從生產技術、生產管理、物流控制、資金管理及人工成本等方面對永昌電廠成本控制方案進行了相對全面的設計和評價,提出相關環節的成本控制方案。On the duty of securities investment fund manager
證券投資基金管理人義務芻議In the internal governance of the investment fund, the article discusses the manger ’ s duty, the custodian ’ s supervision, the unit holder meeting and the unit holder ’ s litigation
投資基金的內部治理主要討論了基金管理人的義務、託管人制度和基金持有人大會制度和基金持有人訴訟的制度。In the second part, i elicit the purposes of the system : to regulate the power of the fund manager and protect the interests of the fund unit holders. only by doing so can we realize the function of the trust system in the aspects of the transfer and management of assets and the concentration of capital
第二部分主要闡述設立利害關系人交易監管制度的目的在於對基金管理人的權力進行監控以保障基金單位持有人的利益,從而有利於財產轉移、財產保障以及資本聚集等信託制度功能的實現。In the last part of this paper, the author studies the legal principles of the exemption of fund manager and exemption clauses widely inserted in the trusts contracts. upon the analysis, the author suggests that lawmakers of our country regulate such exemption clauses from the legal points so that the interests of the investors can be better protected
文章最後,筆者分析了基金管理人免責的法理基礎並進一步對基金實務中廣泛存在的基金契約免責條款出了初步研究,建議立法者應就該種免責條款的有效性從法律上加以規范,從而更好地保護處於弱勢地位的投資人的利益。The fiduciary obligation of securities fund manger is the most important part of the law of securities fund in every country because the duty of manager is the foundation to protect the interests of beneficiary
投資基金管理人義務法律制度是基金投資者權益保障制度的根本所在,故世界各國均將基金管理人義務法律制度作為投資基金立法的重中之重。That is because, in their eagerness to invest, they agreed to long “ lock - ups ”, signing contracts with fund managers to keep their money in the fund for a minimum period before redeeming it
那是因為,他們在投資意願中,同意延長期權鎖定並與基金管理人簽訂契約趕在贖回資金之前,使其在基金中持有的資金期效最短化。Thesis home analyzed its characteristic of marketable behavior as economic man. this article especially pointed out following, investment fund is n ' t provided with spontaneous tendency to stable capital market, but along with expansion o
本文特別指出的是,基金在本性上並不具有穩定資本市場的自發傾向,但是隨著投資基金規模的擴大,基金在基金管理人之間產生搏弈的時候,卻能對資本市場的活動產生穩定的客觀作用。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
商業銀行面對許多風險,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,提高商業銀行的經營水平,就要建立資金管理是商業銀行經營主線的理念,對資金要統一規劃和管理;要改革銀行的體制,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行平臺;增加改善資金流動性管理所需的貨幣政策工具,擴大資金調控手段;打破貨幣市場的僵化局面,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;通過銀行資源整合,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。It correlates to defending the investors " benefits that how to define trust contract correctly. based on the comparatively studying different countries " contract structure of investing fund, this chapter dissects the loopholes and drawbacks of chinese existing contract structure of investing fund, and suggests taking japanese model as reference to import trust system to create a unit trust contract, then putting fund holder, fund manager and fund custodian into one trust contract
在比較分析各國投資基金契約結構的設置后,本部分對我國現行投資基金結構的缺陷逐一剖析,揭示了我國投資基金將投資者排斥出基金契約之外的不合理性,以及基金結構的非信託性,建議以日本「一元制」基金契約結構為圭臬,引入信託機制,將我國投資基金契約規定為一個信託契約,並把基金持有人、基金管理人和基金託管人納入一個信託契約當中。A user s device may have a personal money manager application that the user wants to synchronization with their banking provider
用戶的設備可能有一個私人資金管理應用程序,這樣用戶就應該和他們的銀行提供者同步。So having the synthesis predominance on capital, management, intelligence etc in big corporations and core competence in small corporations are required
這兩方面的變化要求大型企業具有資金、管理以及人才等方面的綜合優勢,而中小型企業要具備專業上的核心競爭力。We can draw these conclusions through the analysis in the article : ( 1 ) the conflict between profitability and liquidity is the root of open - end funds liquidity risk ( 2 ) the security market in china is still developing with lots of speculators ( 3 ) the continious and stable development of security market is the precondition of open - end fund. most of open - end funds are in the type of stock, whose performance depends on stock market ( 4 ) so far, the merchanics in terms of block trade, processing trade, as well as derivatives of short sales and risk - hedging is still in progress, which restrict fund managers ' competence to control risk and increase their stress in dealing with liquidity risk
( 3 )證券市場持續穩定地發展是開放式基金得以長足發展的保障。現有的開放式基金絕大多數是股票型基金,其業績依賴于股市向好,進而影響投資者是否持有基金的抉擇。 ( 4 )目前我國證券市場在關于大宗交易、程序化交易、做空機制和規避風險的金融工具等方面的制度尚不健全,制約了基金管理人控制風險的能力,也加大了其面對流動性風險的壓力。According to the national related industry investment fund policing method stipulation, the industrial fund is one kind has not carried on the stockholder ' s rights to the going on the market enterprise to invest and to provide the set investment system which the management and operation service benefit sharing, the risk altogether take on, namely through distributes the fund share to the most investors to set up the fund company, by fund company from no matter what the fund supervisor or the separate request fund supervisor manages the fund property, the request fund trustee trust fund property, is engaged in the imbark investment, the enterprise reorganizes industries and so on investment and infrastructure investment invests
根據國家有關產業投資基金管理辦法的規定,產業基金是一種對未上市的企業進行股權投資和提供經營管理服務的利益共享、風險共擔的集合投資制度,即通過向多數投資者發行基金份額設立基金公司,由基金公司自任基金管理人或另行委託基金管理人管理基金資產,委託基金託管人託管基金資產,從事創業投資、企業重組投資和基礎設施投資等實業投資。While under market economy system, corporation groups put forward a brand - new managerial notion by making financial management and fund management as the center of business management and financial management respectively, which changes the old business management concept
市場經濟條件下的企業提出了企業管理以財務管理為中心,財務管理以資金管理為核心的管理理念,刷新了人們企業管理的觀念,大多數獨立法人企業的經營管理水平得到提升。The following two chapters inquire the issues relating to fiduciary duty of the investment fund manager
從投資基金作為一個獨立的法律主體來界定,基金管理人就是投資基金的機關。Several corporations all around the country compose it. it encounters a lot of difficulties in internal management, especially in funds management due to the expanding of the scale and the complex organization structure. if “ liming group ” can not handle the problems of the funds management well, its development will be restricted, and it ’ s exist will be threatened
其內部採用多級法人制,地域分佈廣、組織層次復雜,管理鏈條長,集團總部很難掌控集團內部成員企業的經營活動,突出表現為:集團成員單位各自為政,內部資源配置重復浪費,資金管理分散,存、貸雙高,使用效率低下,資金流向缺乏有效監控。Financial institutions located in the international financial services centre ifsc in dublin provide a broad range of services including banking, asset financing, leasing, fund and treasury management, insurance, reinsurance, international life assurance and brokerage
位於國際金融服務中心的金融機構提供的服務廣泛,包括銀行業,資產融資、租賃、融資和資金管理、保險、再保險、國際人壽保險和中介業務。Since the 1980 s, hong kong has played and will continue to play a pivotal role in sustaining the rapid growth of the prd by contributing capital, management expertise, technology, market knowledge and access to international markets
自八十年代至今,香港在全速推動珠三角地區的發展方面,一直擔當關鍵的角色。香港憑藉本身的優勢,給珠三角地區引入資金、管理人才、科技、市場知識,為內地開啟通往國際市場的大門。分享友人