金融重建基金 的英文怎麼說

中文拼音 [jīnróngzhòngjiànjīn]
金融重建基金 英文
resolution trust fund
  • : 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; ...
  • : 重Ⅰ名詞(重量; 分量) weight Ⅱ動詞(重視) lay [place put] stress on; place value upon; attach im...
  • : Ⅰ動詞1 (建築) build; construct; erect 2 (建立; 設立; 成立) establish; set up; found 3 (提出;...
  • 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
  • 重建 : 1. rebuild; reconstruct; reestablish; rehabilitate 2. reestablishment; reconstruction
  1. Financial safety is commonly the study object in the financial crisis and financial crisis opposite. it is a pity that this paper has no enough ability and time to study all these problems, so this paper will stress discuss aspects hereinafter : firstly, go deep into anatomist fss theory meaning. secondly, set up a all - sided, impersonality and synthetically fssis

    遺憾的是,本文也沒有能力在短暫的時間內完整地研究安全問題,本文將點討論以下幾方面內容:一、深入剖析安全區的理論涵義,對概念的界定進行綜合比較分析;二、在深刻理解安全區的理論涵義的礎上,綜合現有國內外研究成果,從影響安全的宏觀綜合因素角度出發構一個全面、客觀、綜合地反映安全區狀況的指標體系。
  2. This dissertation describes the present rusult of the theoretic researches on harbor & navigation economy system during the course of the constriction of international shipping center of shanghai. aimed at the research goal, combinational theory of competitive advantage is developed in this dissertation. which combines the theory of common competitive advantage combines the conglomerate economy, regional advantage and other concerned theories to analyze domino effect of finance, trade and economy caused by harbor & navigation industry in the center city ; the advantage theory of balanced game, which mainly studies how to achieve an effective result of balanced game among every parties, puts more emphasis on the research of collaboration and negotiation that have collective advantage to analyze the relationship between competition and collaboration among different harbor owners under different operating circumstances ; the advantage theory of the reciprocal d evelopment of the harbor and the ambient area is an important paresis, not only can it accomplish its own development goal but can also offer some developing opportunities for its counterparts and the two will endeavor together to construct the international shipping center

    本文在總結前人研究成果的礎上,概述了上海國際航運中心設中有關港航經濟系統的理論研究現狀,並針對本文的研究目標提出了競爭優勢組合理論,分別是一般競爭優勢理論? ?結合了集聚經濟、區位優勢等相關理論,以此來分析港航產業在、貿易、經濟中心城市的集聚經濟效應;均衡博弈的優勢理論? ?主要研究如何在各種利益團體之間達成一種有效的均衡博弈結果,側於對合作博弈、協商機制等具備集體優勢的研究,以此來分析港口利益主體之間在不同經營環境下(民營化前後)的競協博弈關系;港區(港口與區域)互動發展的優勢理論? ?港口與區域的互動發展是國際航運中心設的要前提,雙方於良性循環的共同發展在滿足自身發展目標的同時也為對方提供了發展機遇,並共同為國際航運中心的設而作出努力。
  3. After the establishment of bo sea kingdom, the original shute emigrants in yingzhou became citizens of the bo sea kingdom, which played a role in the economical and cultural communication of bo sea kingdom and japan and had a great effect on the kingdom ' s economic trade, finiancial currency and religional cultural construction that furtherly presented the kingdom to be a great eastern kingdom under the influence of mid asian culture

    並因之參與了隋唐時期在營州地區的政治、軍事活動,為粟末部的崛起奠定了礎;渤海國立后,原營州粟特移民亦隨之成為渤海國之編戶,在渤海與日本的經濟、文化交流中發揮了作用,並在渤海國的經濟貿易、流通和宗教文化設中產生了要作用與影響。
  4. Asia aluminum holdings specializes in infrastructure and construction projects, including the science and technology park, the redevelopment project in mongkok bird street, kowloon station phase ii, nina tower, cyberport and ifc tower phase ii in hong kong ; as well as guangzhou huadu airport, shanghai world trade international centre and jiangsu mobile telecom tower in the prc

    亞洲鋁業控股有限公司專擅築項目,曾參與中港多個大型項目,包括香港科技園、西九龍(雀仔街)計劃、九龍站第二期工程、如心廣場、數碼港、國際中心第二期,以及國內的廣州花都機場,上海世貿國際中心及江蘇移動通信大樓。
  5. In this paper, two key strategies in earthquake risk assessment and risk management for urban areas are studied. one is ground motion based vulnerability evaluation method for buildings which needs to be solved urgently in earthquake risk assessment in china. the other one is financial instruments, such as insurance, reinsurance and catastrophe bonds ( cat bonds in brief ), combined with engineering earthquake risk evaluation which must be faced in earthquake risk management after china entered wto

    本文集中研究了地震風險評估和風險管理中的兩個要問題,一個是當前地震風險評估中急需解決的,於地震動參數的房屋築易損性評估方法;另一個是我國加入wto以後地震風險管理必然會面臨的,與工程地震風險評估密切結合的地震保險、再保險和巨災債券等手段。
  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;視理論聯系實際,在學好專業課的礎上,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,還多次為北方物流置業有限公司(國家、河北省設項目)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,盡量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. The essay raises that the focal point of chinese financial system reform should be to develop and perfect money market. on the base of analyzing both general functions of the market and special functions that the development of the market has influenced on chinese economy and finance, it objectively analyzes the current situation and outstanding problems of the market and advances major solutions to perfect the market, which is, with the premise of constructing credit bases of the market development and with the central task of raising the market efficiency, to perfect short - term bonds market ( including the repo market ) and commercial paper market, and to deepen policy functions of the market, for the sake of a stable and orderly market with substantial scale, united market organization, efficient clearing < wp = 5 > system, reasonable interest rate system, perfect medium organization and effective market supervision

    本文認為,目前中國體制改革的點應是發展和完善貨幣市場。本文在認真分析貨幣市場的一般功效以及貨幣市場的發展對中國經濟發展和改革的功效的礎上,客觀分析了中國貨幣市場的發展現狀以及存在的突出問題,並提出完善中國貨幣市場的本思路,那就是:以設中國貨幣市場發展的信用礎為前提,以提高中國貨幣市場的效率為主旨,完善同業拆借市場、債券市場和票據市場,深化貨幣市場的政策功能,其目標是把中國貨幣市場成一個具備相當的規模、統一的市場組織、高效的清算系統、合理的利率體系、完善的中介組織以及有效的市場監管的穩定有序的貨幣市場。
  8. Theory of portfolio optimization is an important part of the modern ? nance in - vestment theories, which uses mathematical facilities such as convex analysis, random analysis, nonsmooth analysis, ( nonlinear ) programming etc, combined with the mean - variance method the basic method of modern portfolio theory. by setting up mathe - matical models, discussed the investment rules of ? nance market and o ? ered theoretic guide for investors

    投資組合優化理論是現代投資理論的要組成部分,它運用凸分析、隨機分析、非光滑優化、 (非)線性規劃等數學工具,並與現代投資組合理論的本方法均值方差方法相結合,通過立數學模型討論市場投資規律並為個人或機構投資者提供理論指導。
  9. In the course of western development, it must have a lot of fund to exploit water and electricity, oil coalfield, colour metal, to build basic establishment. but the fund is very short, because the western area is located in a bad geographical place, and it is bchindhandly developed in history. so the western area is in the financial state of bottle - neck

    在西部大開發過程中,水電、油氣、煤炭、有色屬等資源的開發以及礎設施的設,需要大量的設資,但由於西部地區所處的地理位置以及歷史發展等多方面的原因,所需資不足,形成了的「瓶頸」制約狀況;為了有效地解決資的供需矛盾,本文提出採用項目資的方式解決這一問題。
  10. Take example of float interest security or float interest bond, those are new financial tools of innovation based on traditional financial tools. they can help financial agencies to reduce interest risk in capital collection

    例如,浮動利率債券或浮動利率票據,這種築在對傳統工具的特徵進行新組合礎上的創新工具,就可使機構減少籌資的利率風險,降低成本,提高效率。
  11. According to the state overall requirements for developing the bank - card industry, and grasping the important opportunity of our country ' s accession to wto and opening the financial industry to the outside world, basing on the foundation of building the “ golden card project ” and taking the all - round advancement of broad application of bank cards as the kernel and the networked common use of bank cards and the expansion of bank - card honoring markets as the key point, work shall be done to achieve unified planning, staged implementation ; government promotion and market operation ; giving priority to application with emphasis on key points, and reflecting the features of the times, the characteristics of china and the specialties of shanghai

    根據國家發展銀行卡產業的總體要求,把握我國入世和業對外開放的要機遇,在設「卡工程」的礎上,以全面推進銀行卡的廣泛應用為核心,以銀行卡聯網通用和擴大銀行卡受理市場為點,做到統一規劃、分步實施;政府推進、市場運作;應用為主、突出點;體現時代特徵、中國特色、上海特點。
  12. The people of hong kong had hoped that the financial secretary would genuinely cooperate with the chinese government in the preparation of a transitional budget which would straddle the handover of sovereignty. we had also hoped to see a budget which would ensure the undisrupted operation of our government machineries ; bring about a through train for all fundamental public policies embracing the management of public finances and monetary affairs ; as well as lay a solid foundation on which to plan, and start to invest confidently in major infrastructural projects

    不負所託共展遠景港人習慣和氣生財,期望財政司與中方真誠合作,編制一份能跨越九七、能為香港展望遠景的預算案,以便政府機關可以維持正常運作,公共理財和財務范疇的所有本政策得以平穩過渡,要的長遠計劃可以早日落實。
  13. Considering the real situation in china ’ s securities business, this paper modifies camp. based on “ loss aversion ” and “ house money effect ” in behavioral bias theory, this paper builds a new model on investor behavior using the theory of fuzzy mathematical to simplify camp

    結合中國證券市場的實際情況,本文新對投資組合理論進行修正:以行為關于「損失厭惡」和「私房錢效應」兩個有限理性偏差為理論礎,利用模糊數學理論對投資者組合理論進行簡化,構了一個新的投資者行為模型。
  14. On the basis of inside and outside terms, we can achieve the transition to the universal banking from the sample to the whole. the thesis also raises a tentative reform idea of financial supervision system and some constructive suggestions on the supervision of financial holding company

    在具備了內外條件的礎上,對商業銀行採取由點到面逐步推進的方式實現向全能銀行的過渡,相應地對目前的監管體制提出了初步改革的設想,並著控股公司的監管問題提出富有設性的意見。
  15. Another important factor is the provision of a safe and efficient financial infrastructure to help prevent the abuse of clients trust by financial intermediaries

    另一項要因素是為市場提供安全及高效的,以防止中介機構瞞騙客戶。
  16. It found a measurment of the objective risk of corporation based on 1he key factors of risk. we find the key factors of corporation risk by the key factors of the value of the corporation. ms measurment of the objective risk is also based on the new definition of risk in the theory of behavior finance. according to the theory of the information economics that look on the cash dividends as the method to transport information, it found a new way to measure the subjective risk. after the measurement of the subjective risk and objective risk, it explores a realistic way to evaluate the value of the corporation risk

    以行為學提出的對風險的新認識為礎,結合對企業價值驅動因素的分析,立了以企業關鍵風險驅動因素為核心的企業客觀風險度量方式。通過對企業把現分紅作為信號傳遞機制的信息經濟學分析,立了衡量企業主觀風險大小的新方式。在確立了新的主、客觀風險度量模型的礎上,還對風險價值的確定方式進行了實踐性探索。
  17. We should attach more importance to following channels at present time : broaden monetary market function ; perfect stock mortgage loan ; develop investment institute ; explore investment banking business, including investment funds business channel, insurance business channel and security business channel ; make financial organization renovation. following policy suggestions should be applied : 1 ) perfect the policy environment ; 2 ) treat the problem rationally ; 3 ) implement financial mixed operation system in due time ; 4 ) foster financial market ; 5 ) enhance external supervision ; 6 ) deepen the construction of commercial banks ; 7 ) introduce bank capital into stock market in stages

    貨幣市場和資本市場的不協調發展使證券機構出現制度外與體制外資或違規操作,必須在兩個市場間立資和信息對流的寬敞通道,在路徑設計上,當前應擴展同業拆借市場、國債回購市場等貨幣市場渠道功能;完善股票質押貸款,及時推出非券商股票質押貸款,並注風險防範;大力發展養老、保險公司、信託等機構投資者,吸收銀行資間接入市;拓展投資銀行業務,包括、保險業務渠道、券商業務渠道、公司業務渠道;設立證券公司或控股集團,進行組織制度創新。
  18. As an illustration of its rigour and quality, the report repeatedly emphasises the importance of financial infrastructure and operational integrity, especially in times of stress, arguing that these factors are crucial mitigants of systemic risk in their own right

    報告反覆強調及穩健的運作的要性,特別是在面對壓力的期間報告指出這些正是減輕系統性風險的要因素。
  19. Just as the physical infrastructure is important for ensuring the safe and efficient movement of people and goods, and therefore the proper functioning of the economy, the financial infrastructure is equally important for ensuring the safe and efficient movement of money, and therefore the proper functioning of the financial system and the economy

    正如實體有助確保人流及物流安全有效,從而促進經濟暢順運行,對資流轉安全有效同樣要,有利於體系及經濟暢順運行。
  20. Finance is the core of contemporary economy, and commercial banking is the principal part of finance system after china j oined the wto , the biggest problem which commercial banks of our country encounter has been the problem of system risks therefore the research on managing and keeping away the commercial banking system risks of our country has great academic and practical significance by expatiating the basic theories of financial system which includes the theoretic analysis of four aspects : financial organization financial market system financial supervision system and financial system innovation together with the characteristics of commercial banks of our country in the transitional period the paper analyzes the ~ eneration mechanism of the commercial banking system risks of our country the defnition and characteristics of system risks , the behavior and the various factors of the commercial banking system risks one by one at the same time the main aspects of american and german commercial banks which include the type and appellation of commercial banks , the exterior form of organization 。 the dealings management system the deposit insurance system and the development current of commercial banks , are compared in addition , the financial supervision systems of america , british and japan are studied in detail based on the above analyzing combined with the situations in our country, the beneficial reference ’ and inspiration that we can draw are analyzed then it can be concluded that the origins from which the commercial banking system risks of our country derive exist in the peculiar property right system , organization system , capital system and juridical person system of our country, etc therefore to prevent and solve the commercial banking system risks of our country, we should begin with eliminating the system sources that result in risks and keep away the banking risks effectively by innovating the system in this paper, several precaution measurements are also proposed including accelerating decentralized regrouping of country, owned property, reforming the organization system of the commercial banks monopolized by the colintry, reforming and constructing capital system , establishing modem iuridical person system of commercial banks , and so on

    加入wto后,我國商業銀行所面臨的最大憂慮就是制度風險問題,因此,對我國商業銀行制度風險的管理和防範研究具有大的理論和現實意義。本文通過對制度本理論的明確闡述,它包括:組織理論分析、市場體系理論分析、監管制度理論分析和制度創新理論分析四個方面的內容;結合當前轉軌時期我國商業銀行的特點,逐一對我國商業銀行風險的生成機理、制度風險的涵義及特點、商業銀行制度風險表現以及商業銀行制度風險的各種因素進行了分析;同時還對美國、德國商業銀行制度的主要方面進行比較研究,包括商業銀行的類型和名稱、外部組織形式、業務經營制度、存款保險制度和商業銀行的發展趨勢;以及對美國、英國、日本三國的監管制度進行了較詳細的分析;並在此礎上結合我國實際,分析了我國可從中得到的有益借鑒和啟示;根據以上分析,得出我國商業銀行制度風險產生的根源在於我國特有的產權制度、組織制度、資本制度和法人治理制度等。為了防範和化解我國商業銀行的制度風險必須從消除這種風險產生的制度礎入手,通過制度創新來有效防範銀行風險,本文提出了若干相關防範措施,包括:加速國有產權的分散化組、改革國有獨資商業銀行的組織制度、改革與設資本制度和立現代商業銀行法人治理制度等。
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