量金融 的英文怎麼說

中文拼音 [liángjīnróng]
量金融 英文
mathematical finance
  • : 量動1. (度量) measure 2. (估量) estimate; size up
  • : 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...
  • : Ⅰ動詞1 (融化) melt; thaw 2 (融合; 調和) blend; fuse; be in harmony Ⅱ形容詞[書面語]1 (長遠; ...
  • 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
  1. Policy : on the aspect of correlative policy, the article analyzes the strong influence of varied policies on auto car demand. the most important policies among those are national industry policy, local consumption policy, tax policy, environment protection policy, reform policy of government allocated car system and financial credit policy

    在政策方面,本文用大的事實、數據和圖表分析了現行國家產業政策、地方消費政策、稅費政策,環保政策、公車改革政策、信貸政策對轎車需求產生的抑揚影響。
  2. Miss choy ka ying, kristy, 2007 bba graduate quantitative finance

    2007年計量金融學系本科畢業生蔡嘉盈同學
  3. I started out at the hedge fund caxton associates, where i was in a quantitative group that looked at outside trading systems

    之後先是在對沖基公司?考斯特集團中負責外部交易系統的數量金融團隊任職。
  4. The central control room of the branch is located in the bank of communications plaza in the lujiazui, shanghai, which adopts the xbrother developed professional security and facility control system which monitors and controls 10 subsystems in the central control room, including : the ups control system ; the coulometer control system ; the leaking control system ; the temperature and humidity control system ; the air conditioning control system ; the video surveillance system ; the sensor of in out water temperature control system ; the access control system ; the switch control system and ; the fire alarm system

    交通銀行機房位於上海浦東新區陸家嘴中心的交銀大廈內,其機房監控系統採用我司自主研製的專業機房監控系統。對機房內的ups監控系統電儀監測系統漏水監控系統溫濕度監控系統空調監控系統視頻監控系統進出水溫傳感器監測系統門禁監控系統開關狀態監控系統消防監控系統等10個子系統進行集中監控,對所有的設備和系統進行工作狀態運行參數報警處理等監視和管理。
  5. The two obvious ways to eliminate the current account surpluses are an exceptional investment boom ( as happened, so disastrously, before the asian financial crisis ) and huge government dissaving ( as is happening in japan )

    消除經常帳戶盈餘有兩種明顯的方法,一是特別高的投資(在亞洲危機之前曾經出現並釀成災難) ,二是政府大動用儲(如日本正在發生的情況) 。
  6. The campaign finance reform act of 1993, which implemented the first - ever limits on campaign contributions

    民事改革-減少瑣碎的民事訴訟案件數量金融改革運動法案1993
  7. Jump processes are able to describe rare incidents which have an influence on the prices of assets in market, which accord with financial statistical rules more conformably

    因為跳過程能描述市場中的突發事件對資產價格的影響,從而更符合大量金融統計數據規律
  8. Digital certificates for mobile wireless and high transaction volume financial systems : part 2 : domain certificate syntax

    移動或無線和高交易量金融系統用數字證書.第2部分:域認證語法
  9. After analyzing the dual - nature of finance resources, the author analysis the issue of financial resources allocation and the allocation efficiency. the paper also highlights the importance of the optimization of financial resource allocation and the improvement of allocation efficiency. pareto optimality is a central concept of new welfare economics, which can be used to judge whether resource allocation is on optimal state in a society

    本文提出了對資源和資源配置效率的理解,簡要介紹衡量金融資源配置效率的帕累托最優標準,同時將假設前提放寬到我國的市場經濟條件,研究分析影響資源配置的現實因素及約束條件,並將約束條件系統化,提出衡量金融資源配置狀態的指標體系。
  10. In addition to improving the flow and quality of information, fis provide financial or secondary claims to household savers

    除了提高信息的流動與質量金融中間人還向儲戶們提供次要債權。
  11. As for me financial regime itself cannot be thought of as good or bad no matter it evolves naturally or is created by exogenous innovation and there is no absolute and independent standard to evaluate it. it can only be evaluated under certain economic circumstances i. e. through the effect finance has on economy and " pareto improvement " to evaluate the efficiency of finance

    我們認為,不論是自然演進,抑或是外生的制度創新,制度安排本身沒有絕對的優劣,獨立性及其邊界理論與實證研究世界上也沒有一個絕對獨立的衡標準,的好壞只能在一種特定的經濟環境中進行評價,即對經濟的相對作用來評判,用帕累托改進來衡量金融在各國經濟中的效率問題。
  12. A long - term balance is noted among the chinese bond prices and fixed - asset investment, net export, commodity price index, monetary supply, bank loans and foreign exchange reserves

    我國債券市場價格與固定資產投資、凈出口、物價指數、貨幣供應機構存貸款和外匯儲備存在長期均衡關系。
  13. The emphasis of this paper is the comparative study on the financial deepening in five eastern asia countries, from financial reform background, measures and patterns, speed and order, and early stage results

    在這一部分里,還提出了衡量金融深化程度的指標體系,包括總指標、結構指標、價格指標和效率指標四個層次。文章的重點放在劉東亞五國深化實踐的比較研究上。
  14. Undergraduates quantitative finance

    量金融學學生
  15. How to properly measure the financial instrument attaches great important to financial accounting

    如何恰當地計量金融工具的問題就被提了出來。
  16. The programme has been developed in response to the market s needs for persons with high level quantitative and analytical skills

    量金融學是為因應現代投資工具需要較多的計知識而設計的課程。
  17. And the efficiency of capital allocation has played such functions, in the high capital returns or optimistic prospective industries ( item ) continue to invest, in low - return capital or pessimistic prospective industries ( item ) timely cut flows in order to achieve the optimal allocation of capital

    資本配置效率是衡量金融體系效率的重要指標。資本配置效率的提高意味著在高資本回報率行業繼續追加投資,在低資本回報率行業及時削減投資。本文按照jeffreywurgler的理論,考察了我國1991 - 2003年間的資本配置效率及其與體系的相關性。
  18. These models measure the market, or price, risk of a portfolio of financial assets - that is, the risk that the market value of the portfolio will decline as a result of changes in interest rates, foreign exchange rates, equity prices, or commodity prices

    但由於這些理論和方法在度量金融產品的投資風險時,基本上採用方差和協方差的概念,不僅技術處理有困難,也不易於為投資者所理解和接受。
  19. In this paper, based on finance appraisal of list company and commercial bank, introducing the value - at - risk to fetch up the traditional financial index system, and further creating secondly - relative appraisal model based on the analysis of principal components and dea takes the non - finance factor into account ; and then, through the proving study of eight listed bank, it shows that the listed bank in shanghai and shenzhen is not as strong as in hongkong

    本文在評述有關上市公司財務評價和商業銀行財務評價的基礎上,引入測量金融市場風險的指標var以彌補傳統上市公司或商業銀行財務評價指標體系的不足,並構建將主成分分析和數據包絡分析相結合的二次相對評價模型以彌補對非財務性指標考慮的不足;然後以滬、深、港8家上市銀行為樣本進行實證研究,研究結果表明,內地上市銀行與香港上市銀行在財務績效和經營管理者主觀有效努力程度上存在一定差距。
  20. What little interest there is can of course be met by accessing the more liquid domestic markets and associated settlement arrangements in brazil, even if that means either placing an order overnight with agents or getting up in the middle of the night to do it yourself

    就涉及巴西雷阿爾的少量金融交易來說,適當的做法當然是透過流動性較高的巴西本土市場及當地的結算系統來進行,即使這相當于要向代理發出隔夜買賣指令,或要半夜起來處理有關交易。
分享友人