金融工程學 的英文怎麼說
中文拼音 [jīnrónggōngchéngxué]
金融工程學
英文
computational finance- 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...
- 融 : 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; ...
- 工 : Ⅰ名詞1 (工人和工人階級) worker; workman; the working class 2 (工作; 生產勞動) work; labour 3 ...
- 程 : 名詞1 (規章; 法式) rule; regulation 2 (進度; 程序) order; procedure 3 (路途; 一段路) journe...
- 學 : Ⅰ動詞1 (學習) study; learn 2 (模仿) imitate; mimic Ⅱ名詞1 (學問) learning; knowledge 2 (學...
- 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
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At baruch college in new york, for instance, the financial engineering program is housed in the mathematics department, with courses taught by a mix of academics and professionals from the financial - services industry
例如,在紐約的巴魯學院,其金融工程項目是掛在數學系下面的,而授課教師來自於金融服務業的學者和專家。There are a total of 47 elective courses, including information technology and economy, economy of china, money and banking, financial economics, economics of derivatives, financial data analysis, corporate finance, public finance, economics of capital markets, economics of real estate, international trade, international finance, development economics, mathematical economics, labour economics, industrial organization, trade and investment among the chinese economies, emerging financial markets of china and others
本課程提供四十七個選修科目,包括:資訊科技及經濟,當代中國經濟、貨幣及銀行學、金融經濟學、衍生工具經濟學、財務數據分析、企業財務、財政學、資本市場經濟學、房地產經濟學、國際貿易、國際金融、發展經濟學、數理經濟學、勞動經濟學、工業組織經濟學、中、港、臺間之貿易及投資、中國新興金融市場等。With a dark cloud hanging over financial assets more generally, the pendulum seems destined to swing further away from the products of slick financial engineering and in favour of easy to understand “ stuff ” : both precious metals and agricultural commodities that will benefit from scarcity and that are beholden to neither financiers nor politicians
隨著金融資產更普遍地籠罩上烏雲,鐘擺似乎註定要遠離華而不實的金融工程學產品,擺向容易理解的「東西」 :貴金屬和農產品,它們是物以稀為貴,不用仰金融家和政治家的鼻息。Nowadays, the theory of management on assets and liabilities has gained all - around effect among those large commercial banks in the developed countries, furthermore, along with the deep going researches, to make quantitative analysis on the risks by introducing finance - engineering to reach the target of controlling risks more painstakingly and more effectively has become the general trends of the theory of control of operating risks
風險控制理論在西方國家經過多年的發展,已日臻成熟。現在資產負債管理理論已在發達國家的各大商業銀行得到全面實施,並且,隨著研究的深入,引入金融工程學對風險進行量化分析,從而達到更細致有效地控制風險的目的,已是風險控制理論發展的大趨勢。Mainly include the financial instruments such as forward rate agreements, interest rate futures contracts, interest rate swaps, options, and etc. the study and practice of management of interest rate risk in china is still very weak, to introduce the advanced management techniques is very necessary
發達國家關于利率風險管理的研究和實務較有成效,金融工程學為我們提供了管理利率風險的多種金融工具,主要包括遠期利率協議、利率期貨合約、利率互換以及期權等等金融衍生產品。我國管理利率風險的研究比較薄弱,引入國外先進的管理技術很有必要。Research and teaching : financial engineering
主要研究和教學領域:金融工程等。These are the products of sophisticated financial engineering that, when applied to emerging markets, may simply overwhelm the risk management mechanisms which have yet to catch up with such developments and pose potential systemic problems
這些都是精密的金融工程學產品,在新興市場里,由於風險管理機制未能趕上這些最新發展,很容易造成潛在的系統性問題。Build up the network safe protection system, speed a development network to encrypt a technique, development database technique, build up the large database of the network bank, accelerate a financial engineering academics at our country of research development and make use of, speed the lawmaking progress of electronic commerce and network bank, study and control international up standard etc. concerning network bank
建立網路安全防護體系,加快發展網路加密技術,發展數據庫技術,建立網路銀行大型數據庫,加速金融工程學科在我國的研究開發和利用,加快電子商務和網路銀行的立法進程,學習和掌握國際上有關網路銀行的標準等。The latter allows the buyer to transfer the risks only when the several triggers occur at the same time. in this way, the cost of the product can be lowered and also the moral hazard can be eliminated to some extent. the recent trend toward convergence in insurance and capital markets largely explains the application of capital
在國際保險市場與資本市場融合的大趨勢下,近年來又興起了一類與資本市場相聯系的art產品,其構造中大量採用金融工程學領域的最新成果,最終目的是將保險風險以資本市場產品的形式轉移到資金供給充裕的資本市場。There are 11 concentration areas available for students selection, including business economics, management information systems, supply chain and logistics management, general finance, financial engineering, insurance and risk management, management of international business, human resource management and marketing, etc
專修范圍共有十一個,包括商業經濟學、管理資訊系統學、供應鏈與物流管理學、綜合財務學、金融工程學、保險及風險管理學、國際企業管理學、人力資源管理學、市場學等。Originated from the evolution in the realm of economic epistemology and methodology, the author provides with several main incentives to explain the phenomenon. part two : this part is mainly about the institutional research. centered on the essence of asset securitization, the author analyses why this financing method should be introduced into china and how it can be operated smoothly
文章第三部分試圖進行理論層面的深入研究:以知識經濟時代經濟學認識論、方法論的演變為根源,從制度創新的功能驅動機制和金融工程學的價值發現機制等幾方面總結了資產證券化的主要動因,並適當結合了制度經濟學、經濟哲學等學科的思想,力求體現經濟學、管理學和金融學在理論分析中的融合與相互借鑒。This thesis regards choice mode of basic asset of credit asset securitization as study entry, using the relevant principles in disciplines such as economics, finances, investments, financial engineering, theory of probability and mathematical statistic and commercial bank management, etc., drawing lessons from analysis tools and research methods of predecessors, through summarizing relevant concepts and principles, earning and risk of credit asset securitization, outlines a general definition of credit asset securitization and draws importance of choosing basic asset of credit asset securitization on this basis
本文將信貸資產證券化基礎資產的選擇模式作為研究切入點,運用經濟學、金融學、投資學、金融工程學、概率論與數理統計和商業銀行管理等學科的相關原理,並借鑒前人的一些分析工具和研究方法,通過對信貸資產證券化的相關概念及原理、收益與風險的分析,對信貸資產證券化作一個總的界定,並在此基礎上引出信貸資產證券化基礎資產選擇的重要性。To sustain the present market shares and also to raise the capacity as well, those large - scaled ( re ) insurance companies have established their own daughter companies, which focus on the r & d in art field. to date, they have successfully launched a wide range of flexible art products and solutions. these products are mainly tailor - made ones that can better cater to the specific needs from different clients across the industries
為了留住客戶,保持市場份額,擴大承保能力,歐美各大(再)保險商紛紛設立專門機構進行art產品的研發,根據市場不斷變化的需求,同時結合大量的金融工程學技術,為客戶提供設計靈活、具有針對性的風險管理產品解決方案。Keywords : industrial engineering, industrial management, operations research, management sciences, production systems, operations management, supply chain management, management of technology, quality engineering and management, reliability engineering, six - sigma, lean manufacturing and lean enterprise, information systems engineering and management, enterprise management systems engineering, semiconductor manufacturing, health care systems, data mining, financial engineering, simulation, optimization, decision sciences, stochastic systems , probability and statistics
關鍵詞:工業工程,工業管理,運籌學,管理科學,生產系統,運作管理,供應鏈管理,技術管理,質量工程和管理,可靠性工程,六西格馬,精益製造與精益企業,信息系統工程與管理,企業管理系統工程,半導體製造,醫療系統,數據挖掘,金融工程,系統模擬,優化,決策科學,隨機系統,概率和統計。" financial mathematics 、 financial project and financial management " con - stitute a significant research project specified by the national foundation of natural science of china , in which option pricing theory is a problem of leading edge as well as a hot one. this thesis gives a new evaluation method on the important factor ? volatility, which has an important influence on the pricing of option, based on the research of option characters
「金融數學、金融工程和金融管理」是國家自然科學基金確定的重大研究項目,而期權定價理論則是目前金融工程、金融數學所研究的前沿和熱點問題。本文在研究期權特性的基礎上,對影響期權定價的重要因素波動率給出了一種新的估計方法。Famous scholars at the university have been engaged in innovation research and kept students abreast of the frontier knowledge in the field
更有知名的學者教授在金融工程領域一直從事開創性的研究工作,為就讀的學生提供最前沿的知識。This complexity has made investment and risk analysis heavily rely on quantitative methods and information technology. in this stream students learn fundamental finance concepts, and obtain advanced training in quantitative techniques, decision models and information systems technologies
本系金融工程專修范圍將為學生提供三方面之科目:基本金融學(主要由中大財務學系協助提供) 、量化決策方法、及資訊系統技術。Technology does not only manifest itself in web and wires, but also in the rarefied area of financial engineering, with advanced mathematical models and complex equations developed to price new derivative products
科技不但應用於網路及電纜通訊,更應用於金融工程設計,有關的專業人士不斷發展先進的數學模型及復雜的公式,以為新的衍生工具定價。Cbm & as have already become the important issue to the international community which must severally face and make a deep research on it. this dissertation along with a logic line of concept, theories, decision, operation, risk, empirical study, makes use of the economics, management, financial engineering, option theories, games theories and methodologies, analyzes the basic issues such as concept, realistic meanings and confines with theories of cbm & as, constructs a driving wheel model, explores the main management activity as decision, operation and risk control, and finally makes cases study from the mother country and host country
本文沿著跨國並購概念?理論?決策?運行?風險?實證這一邏輯主線,綜合運用經濟學、管理學、金融工程、期權理論、博弈論等理論與方法,從跨國並購的基本內涵、現實意義和相關理論出發,構建了跨國並購驅動輪模型,並分別對跨國並購的主要管理活動即決策、運行和風險控制進行了研究和探討,最後從母國和東道國兩個角度對跨國並購進行了實證分析,提出了一些新的理論模型和方法。The paper puts forward that the inner driving force of financial innovation comes from the contradictory movement of various internal elements of financial organization, which is the subject of financial innovation, that the contradictory movement between various external elements and the subject of financial innovation provides external driving force for financial innovation, that the due products of the development of modern science financial mathematics and financial engineering, as two modern financial theories, offer financial innovation theoretical support, accelerate the developing process of financial innovation
認為金融創新的內在動力是金融創新主體- -金融機構內部各要素的矛盾運動,外部各要素與創新主體之間的矛盾運動成為金融創新的外在動力,而作為當代金融科學本身發展的必然產物、兩大現代金融理論- -金融數學和金融工程,為金融創新提供了理論支持,加速了金融創新的發展進程。分享友人