金融衍生產品 的英文怎麼說

中文拼音 [jīnróngyǎnshēngchǎnpǐn]
金融衍生產品 英文
financial derivative product
  • : 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; ...
  • : [書面語]Ⅰ動詞(開展; 發揮) spread out; develop; amplifyⅡ形容詞(多餘) redundant; superfluousⅢ名...
  • : Ⅰ動詞1 (生育; 生殖) give birth to; bear 2 (出生) be born 3 (生長) grow 4 (生存; 活) live;...
  • : 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名詞1 (物品) article; product 2 (等級; 品級) grade; class; rank 3 (品質) character; qualit...
  • 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
  • 衍生 : [化學] derive
  1. Finance is the core of the modern economy and the development of the modem finance reflects in the application of financial engineering technology and the development of financial derivative market. nowadays, financial deverivatives play a more and more important role in the international financial market and are called the core of the general capital marketas china entered wto. chinese economy will join the trend of globlization of world economy. but at present, category of financial product is single, structure and function in chinese capital market is imperfect. financial operations remain the conventional operations in the main and the development of financial derivative market lags behind those of developed counteies out and away. therefore, developing financial derivative deal and expanding financial derivative market are urgent

    是現代經濟的核心,而現代發展集中反映在工程技術的應用與金融衍生產品市場的發展上。當前金融衍生產品在國際市場中的地位與作用越來越重要,被稱為是廣義資本市場的核心。隨著我國加入wto ,我國經濟將加入世界經濟一體化的潮流中,但目前,我國資本市場種單一,結構與功能很不完善,業務基本停留在傳統業務上,金融衍生產品市場發展遠遠落後于發達國家。
  2. Mainly it is our country that encourages and lack standard and clear to tax revenue that invest, at capital profit must, thin capitalization and finance spread out and produce tax revenue sampled stipulate the defect of having, and the tax treatment and accountant on invest business scarce to coordinate difference

    主要是我國對投資的稅收鼓勵缺乏規范和明確,對資本利得、資本弱化和金融衍生產品的稅收規定存在缺陷,稅收和會計在投資業務上的差異缺乏協調。第四部分:我國企業投資業務稅收處理制度的重塑。
  3. The interest on bonds is subject to the directive, for instance, but dividends on shares, bond - like insurance products or income from derivatives are not

    例如,債券利息雖屬于指令的規制范圍,但股票紅利、債券性保險項目或金融衍生產品收益便不在上列。
  4. Research and teaching : asset pricing, empirical finance, econometric methods, and derivative markets

    主要研究和教學領域:資定價,實證,計量經濟學方法,金融衍生產品市場。
  5. The bankruptcy reform act of 2005 remarkably expanded the coverage of such safe harbors, especially in the financial derivatives area, where the traditional " product protection " has virtually evolved into " market protection "

    2005年《破改革法》顯著擴展了安全港的覆蓋范圍,尤其是在金融衍生產品領域,實質上由「特定保護」演變為「市場保護」 。
  6. Commodity financial derivatives

    金融衍生產品
  7. 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,工程學為我們提供了管理利率風險的多種工具,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。
  8. The securities market has been constantly expanded in china since the past 15 years of development, so there is a potential demand to use financial derivatives for risk control management

    我國證券市場經過15年的發展,市場規模不斷擴大,有利用金融衍生產品進行風險控制管理的潛在要求。
  9. In view of the fact that our country has not now formed financial trade market, the financial kind of financial derivatives is numerous us, change ca n ' t measure, and innovation is unceasing, therefore the financial research of financial derivatives problem of venture capital investment is difficult

    鑒於我國目前尚未形成交易市場,金融衍生產品的種類繁多、變化莫測,且創新不斷,因此,對證券風險投資問題的研究是非常困難的。
  10. Based on some case study, the paper analyzes the current situation and existing problems of foreign exchange market and concludes that china should develop foreign exchange derivatives market to provide a favorable outer environment for multinational companies to manage foreign exchange risks. china should build firstly the forward market of foreign exchange and gradually develop other derivatives market of foreign exchange based on the development of dealers system in foreign exchange market

    在案例分析的基礎上本文還對目前我國外匯市場現狀及其問題進行了簡要分析總結,提出了關于發展我國外匯市場為企業規避外匯風險提供外部環境的建議:首先建立和發展外匯遠期市場,逐步建立外匯交易商制度,在此基礎上發展外匯期貨以及期權等其他金融衍生產品市場。
  11. Financial derivative product

    金融衍生產品
  12. It ' s necessary for government to regulate financial derivatives deals

    從政府的立場來看,就有必要對金融衍生產品交易進行監管。
  13. A risk decentralization effect and its reference significance of financial derivative products hedging

    金融衍生產品套期保值的風險分散效應及其借鑒意義
  14. With regard to the research of the derivatives, it is the kernel that how to price them

    在對這些金融衍生產品的研究中,如何對其進行定價是研究的核心內容。
  15. As the same result of shanghai futures exchange ' s research, which adopted least variance model

    股指期貨是一個高風險、高收益的金融衍生產品,相應地應有完善的風險管理措施。
  16. Along with the innovation and the development of financial market, more and more derivatives appear in our country

    隨著我國的創新和市場的發展,在我國出現了越來越多的金融衍生產品
  17. Establishing and developing our own financial derivative market is becoming an important problem both theoretically and practically

    如何建立和發展我國的金融衍生產品市場,成為具有重要理論和現實意義的研究課題。
  18. Since the 1970s, the prominent phenomenon in the field of financial risk management is that financial derivatives deals are used widely

    20世紀70年代以來,風險管理領域一個突出的現象就是金融衍生產品的廣泛使用。
  19. And path dependence theory, marginal theory and optimizing theory are applying in this paper. this article ends up with a few of hypotheses below : at present, retail exposures of credit risk may be valuated by multi - factors score ; company ones of credit risk may be valuated by modified specialist method ; and bank ones of credit risk may be valuated by quasi modern credit risk valuation model ; the destination is to get to the same way to modern credit risk valuation model by which all kinds of risk can be valuated, by the means of motivational transition or compelled one of the institute

    在此基礎上,以會計/市場數據可得性和有效性、市場發育程度、利率市場化深度、公司治理結構的完善度以及信用工具本身的特徵(尤其是工具)等因素作為細分依據,將我國商業銀行中信用風險暴露(嚴格意義上來說,為了突出本文的觀點,本文僅僅是對商業銀行的部分風險暴露)劃分為:零售信用風險暴露、公司信用風險暴露? ?對大型企業集團的信用風險暴露和銀行信用風險暴露? ?銀行對質優上市公司的信貸業務、銀行的貨幣市場業務以及金融衍生產品業務等。
  20. The convertible bond is such a kind of bond by which you can buy publishers " long option of common stocks, which is also a sort of hybrid derivatives between common bonds and common stocks

    可轉換債券是一種帶有可購買發行人之普通股票的買入期權的公司債券,是介於普通債券與普通股票之間的一種混合型金融衍生產品
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