金融流量 的英文怎麼說

中文拼音 [jīnróngliúliáng]
金融流量 英文
financial flow
  • : 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; ...
  • : Ⅰ動1 (液體移動; 流動) flow 2 (移動不定) drift; move; wander 3 (流傳; 傳播) spread 4 (向壞...
  • : 量動1. (度量) measure 2. (估量) estimate; size up
  • 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
  • 流量 : rate of flow; flow; runoff; discharge; throughput; (flow) rate; quantity (of flow); flux
  1. The main work of article is calculating and analyzing the dcr of the financing of " non - addictive anodyne epibatidiue " & " timozuoan " roject with the employment of the financial report and the materials of this line and the analysis of project ' s currency flow, and employing popular project financing theory and methods in the concrete activities of project financing

    本文研究進行的主要工作是:通過運用zk藥業公司財務報表及行業資料,結合項目現分析,對項目「非成癮性鎮痛藥epibatidiue 」和項目「替莫唑胺」的dcr進行計算及分析,綜合性地將一些現行的項目資理論及方法運用於具體的項目資活動中。
  2. We need to keep the fiscal reserves at a satisfactory level to meet the cash flow needs of the government in its day to day operation ; to cope with contingencies arising from any downswing in the economic cycle and from unforeseen external events ; and to underpin the stability of the exchange rate for the purpose of enhancing monetary stability

    我們需要把財政儲備維持在適當水平,以應付政府日常運作上的現需求;在經濟周期回落或外圍出現突發事件時應急,以及支持匯率,以維持穩定。
  3. And the explicit factor is management risk 、 expectant cash inflood quantity 、 capital fluidity 、 money market 、 decision - making misplay 、 credit risk 、 government behavior etc. macroscopical factor

    經營風險、預期現和資產的動性、市場、決策失誤、信用風險、政府行為等宏觀因素是負債籌資風險的外在因素。
  4. The direct result of the insurance securitization is that a great quantity of capital can be attracted to flow into the insurance market, which will offer the investors the new, risk - separate investing channel and play an enormous role in improving the capital constitution of the financial industry and promoting the effective flow of the capital combined with the new changes of the calamity risk in the insurance industry both catastrophe internal and international, it is more important to securitize the insurance of the catastrophe risk

    保險證券化的一個直接結果是可以吸引大資本向保險市場,為投資者提供新的、風險獨立的投資渠道,對改善市場的資本構成,促進資本的有效動將會發揮巨大的作用。結合國際國內保險業巨災風險的新變化,對巨災保險進行證券化尤為重要。
  5. By convention, all capital and financial flows, except those arising from transactions in official foreign reserves undertaken by the monetary authority on behalf of the exchange fund, are added to current transactions together with implied errors and omissions " above the line " in arriving at what is termed the " overall " surplus or deficit in the balance of payments accounts

    傳統以來,在計算國際收支平衡帳的整體盈餘或赤字時,除管理專員代外匯基進行的官方外匯儲備交易外,其他所有資本與金融流量,以及經常帳的交易連同隱含誤差都會計入線上項目內。
  6. I major in business english. the main courses i have studied are the basic courses for english majors, french, fundamentals of business, macroeconomics, microeconomics, international commercial law, internatioal trade, the economics of money, banking and financial market & principles of marketing during my college time, i study hard, and get good marks in most of the subjects. i pay attention not only to my study but also to improving my social abilities, i taught in qin huangdao chuangzhi foreign studies school from july 2003 to 2004, was an interpreter for the world bicycle championships b 2001 in june 2001, taught in qin huangdao cambridge school from mar. 2001 to sep. 2001, and i have abundant house - teaching experiences. what ' s more, i practised in qin huangdao chia tai co. in jan. 2003. i also tried my best to improve my other abilities besides my major, such as computer, managing abilities. i got " 1st grade " in the " hebei college students ' plan for company - creating contest " ( our work will participate in the national college students ' plan for company - creating contest ), and got " excellent " in the " web - making contest " of yanshan university

    大學期間,我嚴格遵守學校規章制度,尊敬師長、團結同學,有很強的集體榮譽感;學習認真刻苦,成績良好,我的專業學習涉及內容相當廣泛,包括英語的所有基礎課和國際商法、市場營銷、國際貿易、國際、工商導論、宏微觀經濟學等;重視理論聯系實際,在學好專業課的基礎上,積極參加各項社會實踐、實習活動, 2001年6月,我曾為世界b級自行車錦標賽(中國?秦皇島)擔當翻譯工作,在多所外語學校擔任英語教師,還多次為北方物置業有限公司(國家、河北省重點建設項目)翻譯招商材料,而且2002年年底,在秦皇島正大有限責任公司行銷部實習;在學好專業課的同時,為了補充和擴展自己的知識面,我廣泛涉獵其他學科的知識,如計算機、網路、創業等,盡使自身更快成長為一專多能型人才, 2002年4月開始參加燕山大學學生創業計劃大賽,並在2003年上半年參加了河北省大學生創業計劃大賽,獲得了一等獎的優異成績,並將報送參加國家大學生「世紀杯」創業計劃大賽, 2002年4月,參加燕山大學「綠色網路」網頁製作大賽,獲得了優秀獎。 。
  7. In the second section of chapter 2, the fact that the essential interest rates of all nodes differ from each other is discussed, a non - homogeneous differential equation model of interest rate - amount of circulating fund is established, and it is proved that the sum of the weighted interest rates of each node in the financial network still remains a constant and that the difference of the instant interest rates between two nodes will finally approach the difference between their basic interest rates. in the third section of chapter 2, the differential equation model of interest rate - amount of circulating fund in an open system is studied, the laws of changes of interest rate are taken into account when fund is injected into or withdrawn from the node or when fund is injected into the network or withdrawn from the network, and the stability of equilibrium solution is proved based upon lyapunov stability theory. in the last, the equation model of interest rate - amount of circulating fund in the financial network with time delay is studied, and a necessary and sufficient condition for the existence of periodic solution is obtained to the interest rate - amount of circulating fund equation with delay

    本文第二章首先建立了封閉系統的利率?微分方程模型,證明了各結點利率加權和為常數即市場利率均衡原理,以及各結點利率極限為整個網路平均利率;其次在各結點基本利率不相同的情況下,建立了非齊次利率?微分方程模型,證明了網路各結點利率加權和仍是一個常數,並證明了各結點兩兩之間的即時利率之差最終將穩定地趨于其基本利率差;此外,還研究了開放網路利率?方程模型,考慮了結點自身追加資和提走資的情形以及網路外部注入資和向外部轉移資情形下的利率變化規律,用lyapunov穩定性理論證明了模型均衡解的穩定性;最後,還研究了具有時滯的網路利率?方程模型,並給出了具有時滯網路的利率方程具有周期解的充要條件。
  8. In the year under review, the group adopted the new hkfrs below, which are relevant to its operations. hkfrs 3 business combinations hkfrs 5 non - current assets held for sale and discontinued operations hkas 1 presentation of financial statements hkas 2 inventories hkas 7 cash flow statements hkas 8 accounting policies, changes in accounting estimates and errors hkas 10 events after the balance sheet date hkas 12 income taxes hkas 14 segment reporting hkas 16 property, plant and equipment hkas 17 leases hkas 18 revenue hkas 19 employee benefits hkas 21 the effects of changes in foreign exchange rates hkas 23 borrowing costs hkas 24 related party disclosures hkas 27 consolidated and separate financial statements hkas 28 investments in associates hkas 32 financial instruments : disclosures and presentation hkas 33 earnings per share hkas 36 impairment of assets hkas 37 provisions, contingent liabilities and contingent assets hkas 39 financial instruments : recognition and measurement the adoption of the above new hkfrs has the following impact on the group s accounting policies : hkfrs 3 does not have any impact as the new standard does not affect the group

    香港財務報告準則第3號業務合併香港財務報告準則第5號持作出售非動資產及終止經營業務香港會計準則第1號財務報表之呈列香港會計準則第2號存貨香港會計準則第7號現表香港會計準則第8號會計政策會計估計變動及誤差香港會計準則第10號結算日後事項香港會計準則第12號所得稅香港會計準則第14號分類報告香港會計準則第16號物業廠房及設備香港會計準則第17號租賃香港會計準則第18號收入香港會計準則第19號雇員福利香港會計準則第21號匯率變動之影響香港會計準則第23號借貸成本香港會計準則第24號有關連人士披露香港會計準則第27號綜合及獨立財務報表香港會計準則第28號聯營公司投資香港會計準則第32號工具:披露及呈列香港會計準則第33號每股盈利香港會計準則第36號資產減值香港會計準則第37號撥備或然負債及或然資產香港會計準則第39號工具:確認及計采納以上新香港財務報告準則對本集團之會計政策造成下列影響: i香港財務報告準則第3號並無造成任何影響,皆因新準則並不影響本集團。
  9. Contents of this course include : basic concepts of financial management, atternative forms of business organization, financial statement analysis, break - even analysis, operating & financial leverages, managing working capital, short - term financing, financial mathematics, capital budgeting & risk, discounter - cash - flow model, fundamentals of securities valuation, cost of capital, capital structure, dividend policy, long - term financing, leases, mergers & acquisitions, holding companies, restructure and liquidation

    課程涵蓋了財務管理的基本概念,企業組織型態,財務報表分析,損益平衡分析, ?桿原理,營運資管理,短期資,財務數學,資本預算及風險,現折現模型,證券評價基礎,資成本,資本結構,股利政策,長期資,租賃,並購,握股公司,重整及清算等重要課題。
  10. In contrast to imcome or saving, which are flow variables, financial wealth is a stock variable

    與收入和儲蓄這兩個不同,財富為存,它所表示的是給定時刻的財富價值。
  11. Net cash used in financing activities

    資活動所用的現
  12. 4 classify operating, investing, and financing activities in a cash flow statement

    分類現表的經營性,投資性,資性經濟業務。
  13. We have an advanced financial infrastructure, a regulatory regime up to international standards, deep and liquid internationalised financial markets, a rich pool of professionals and diversified investment products. these advantages enable us to contribute to raising the efficiency of financial intermediation in the mainland and facilitating reform of the mainland s financial system in the following ways

    香港擁有先進的基礎設施符合國際水平的監管制度具深度和高通性的國際化市場大界專才及多元化投資產品,可以在提高內地資通效率和協助國家體系改革方面,作出以下貢獻:
  14. Topics cover : in income determination ; balance sheet and statement of cash flow ; the role of financial analysis for valuation, cash flow analysis and credit risk analysis ; the role of financial information for contracting ; understanding of analysis of inventory, cash ; receivables ; financial instruments ; various types of financial reporting for leases ; owner ' s equities

    主題涵蓋:收益決定;平衡表和現報表,財務分析在評估中的角色,現分析和信用風險分析;財務信息在訂約中的角色;理解存貨、現分析;應受帳款;證券;租約的各種報表;業主權益。
  15. In 1934 the united states government took policy of silver purchasing, after that the chronic economic depression turned into full - scaled finance crisis. industry, commerce and native banks were all at risk of collapse in 1935, but banks still maintained their prosperity

    美國實行購銀政策以後,匯集於上海的白銀通過外國銀行以及走私的方式大向國外,使長期以來的慢性經濟恐慌終于在1935年春夏之交演化為全面的恐慌。
  16. Governments should follow correct order on the way of financial liberalization, improve financial institutions, ensure sound macroeconomic gross and structure, draw on more domestic savings, keep exchange rate flexible, effectively regulate short - time capital and set up financial risk precaution s

    建立完善的基礎設施、確保宏觀經濟總和結構狀況的健康、正確處理引進外資與加強國內積累的關系、適時調整匯率、加強對短期動資本的管理、建立風險預警系統等措施。
  17. Presently the main investors of bond market are otc trading brokers bond dealers which includes hybrid securities firms, financial institutions, notes companies, trust investments and etc. among them, securities firms and note companies are the market - makers of our bond market and they are the contributors of market transaction scale and liquidity

    目前債券市場的投資人主要為債券自營商,其結構包含綜合證券商銀行票券公司證券公司信託投資公司中華郵政公司等,其中又以綜合證券商與票券公司為債券交易主要的市場莊家market - maker ,其對市場成交貢獻與動性創造最為積極。
  18. And it is not difficult to envisage a situation where higher interest rates to curb inflation could lead to large capital inflow and the associated monetary consequences that defeat the original purpose of the monetary policy change, or to exchange rate overshooting that puts financial stability at risk

    大家不難想像到,為遏抑通脹而調高利率,可能會造成大入及相關的貨幣影響,以致抵銷了當初調整貨幣政策工具的預期效果,亦可能引發匯率過度調整,影響穩定。
  19. While the development of securities business and internet, it is in dire need of transferring capital between bank and stockjobber safely and expediently. the transferring system between bank and stockjobber is an important financial means. there are many modes to arouse transferring

    隨著現代企業制度在全國范圍的逐步建立和市場的日漸完善,大的資本通於銀行和證券營業所之間,利用現代科技手段特別是網路實現貨幣和股票的可靠通和交換是證券業及銀行業殛待解決的問題。
  20. For meeting the needs of project, the plan of project financing should include the amount and type of currency, flowing amount of financing capital, capital source structure and financing risk assessment

    為了滿足開發項目對資的要求,資方案應包括所的幣種與數、所、資來源結構、資風險評價等內容。
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