風險儲備 的英文怎麼說

中文拼音 [fēngxiǎnchǔbèi]
風險儲備 英文
risky reserve
  • : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
  • : Ⅰ名詞1 (險惡不容易通過的地方) a place difficult of access; narrow pass; defile 2 (危險) dange...
  • : Ⅰ動詞(儲藏; 存放) store up; save; keep [have] in reserve Ⅱ名詞1. (繼承人) heir 2. (姓氏) a surname
  • : Ⅰ動詞1 (具備; 具有) have; be equipped with 2 (準備) prepare; provide with; get ready 3 (防備...
  • 風險 : risk; hazard; danger
  • 儲備 : 1. (儲存備用) store for future use; lay in; lay up 2. (儲藏品) reserve; store
  1. In each case, tighter monetary policy increases risk by reducing financial buffers or otherwise increasing the vulnerability of individuals or firms to future shocks to the economy

    在任一情況下,進一步緊縮銀根都降低財政或/和個人或企業抵禦未來經濟沖擊的能力,從而會增加
  2. Stock markets leapt on friday after the u. s. federal reserve unexpectedly cut its discount rate, saying deteriorating financial conditions were a downside risk to growth

    美國聯邦局意外消減貼現率后,周五股票市場突然暴漲,表明金融環境的惡化給增長帶來下跌
  3. The paper analyzed the status of chinese foreign exchange reserves investment at present, and then put forward suggestions for improving reserves investment returns, such as discriminating investment function from the management ; constructing efficient mechanism ; setting up investment benchmark and limitation, evading and manipulating risks ; optimizing the currency and assets compounding ; expanding invest channel ; absorbing more person with ability in international finance market and perfecting relevant laws etc

    本文分析了我國外匯基金投資增值的現狀,從區分管理功能和投資功能,組建高效基金運營模式;設定投資基準和投資限額,控制和規避投資;優化外匯的貨幣結構和資產結構,拓寬投資渠道;加快培養吸納國際金融市場操作人才,完善有關法規等幾個方面提出了改進外匯基金投資增值的對策。
  4. The programmed strategy of qim ' s access to available and steady development is : increasing mining production capacity and economic benefits by booming mine through science and technology to achieve increased capacity of continuous progression ; enhancing the ore reserve storage by excavating the prospecting potency of mineral resource ; magnifying scale beneficial result by enlarging output capacity ; adding products with high additional value by progressing towards futhur processing mineral products ; meanwhile, saving the management risk by developing non - steel industry ; concentrating the main body to increase the benefits by separating the subsidiary from the main one and staffs being laid of ; seeking supports of mining industry economic policy from macroeconomic policy to lighten the burden of our enterprise ; dealing well with the problem of guaranteeing the life of the staff being separated for further steadying circumstance of enterprise and society and perfectly realizing the constant development of qim

    規劃的齊大山鐵礦可持續發展戰略是:通過科技興礦來提高采礦的生產能力和經濟效益,達到可持續發展能力的提高;通過挖掘齊礦礦產資源的勘探潛力來提高后資源的;通過擴大產量規模來增大規模效益;通過礦產品向深加工方向發展來增加高附加值產品;同時,發展非鋼產業來降低企業的經營;通過實施主附分離來精幹主體、減員增效。從宏觀經濟政策上來尋求礦業經濟政策的支持,減輕企業的負擔;為了使企業和社會的環境更加穩定,要解決分流人員的生活保障問題,從而更好的實現齊礦的可持續發展。
  5. It is very important to expand invest channel, evade risks and increase investment yields with mobility and safety for chinese foreign exchange reserves

    摘要外匯必須在滿足流動性和安全性前提下,拓展投資渠道,控制投資,提高投資收益。
  6. The approach to the management of foreign exchange reserved by central bankers varies across the globe, ranging from a policy of benign neglect to detailed and highly mathematical calculations of alternative moves to reduce the risk and increase profitability

    世界各國主要銀行家們對外匯交換的管理方法不盡相同,有的國家對外匯管理採取某些寬松的政策,有的國家則採取詳細計算各種外匯的方式,以便減少,提高收益。
  7. And recently there have been predictions that the large accumulation of foreign reserves and the associated domestic monetary management problems are presenting considerable risks to financial stability

    最近亦有預測認為,區內累積大外匯及因此而造成當地的貨幣管理問題,可能對金融穩定構成重大
  8. Because the mode of “ hand in while hand out ” can ’ t resist present old - aged risk, we have to invest the fund to increase income through fund accumulation for the sake of storage wealth for the future

    由於現收現付制的方式不能抵禦當前的老齡化,因此我們必須以基金積累的方式進行投資收益,為將來的養老保障財富。
  9. When implementing extraversion oil strategy, for reduce influence and impact that oil venture bring to our economy and society, we should pursue a diversified oil supply, especially develop oil time - bargain, to enhance civil petroleum prove and exploit, and to found national oil strategic stockpile system

    為了降低石油可能給我國經濟、社會產生的影響和沖擊,在實行外向型石油戰略時,中國應該實現進口來源和方式的多樣化特別是要大力發展石油期貨交易,同時加強國內石油資源的勘探和開發以及建立國家石油戰略體系。
  10. As the investment objectives, risk and return characteristics of this portion of the fiscal reserves are similar to that of the exchange fund, this change in the investment policy for these fiscal reserve placements will not require immediate changes in the strategic investment benchmark for the exchange fund

    由於這部分財政的投資目標和回報特性與外匯基金類似,所以即使存入外匯基金的財政的投資政策有改變,也無需即時對外匯基金的策略性基準投資組合作出修改。
  11. Fund wants special fund special, take the risk reserve with have certain

    基金要專款專用,留有一定的風險儲備金。
  12. At the margin extra demand has come from those who think dollars indeed any money backed by nothing more than promises to keep inflation low a decidedly risky investment mainly because america with the world ' s reserve currency has been able to create and borrow so many of them

    在此下跌情況下,導致金價上揚的額外需求來自於那些認為美元或者任何一種依靠抑制通脹的許諾來支撐的貨幣無疑是一種高投資的人,主要因為美國擁有美元這一世界貨幣,而且一直能夠製造和借來很多美元。
  13. According to timothy geithner, president of the federal reserve bank of new york, which keeps a close eye on wall street ' s exposures, “ risk management is better and capital cushions are stronger than they were, relative to risk

    根據紐約聯邦銀行主席提摩西.蓋特納的說法(無視華爾街被曝光) , 「管理更好,而且資本安全余量相對于來講,比以前更堅實。
  14. The frequent fluctuation of foreign exchange rate makes multinational companies confront huge foreign exchange risk and affects unfavorably the value of the foreign exchange reserve

    外匯市場的頻繁波動使得跨國經營企業面臨著巨大的外匯,同時極大影響了我國巨額外匯的價值。
  15. During the phase in order to make certain whether the enterprise has the capability in put the project in practice, value chain and supply chain was analyzed and assessed involved in organism structure, material - supplying and ordering, product plan, product structure, financial administration, material - disposing, capital administration, transport, storage, marking, sell and client service in the method of administration - diagnosing, phase - analyzing. secondly, the industry and market related to the output of the enterprise and project was analyzed according macro and micro hierarchy. in the process the five models of competitive ability, which are analysis framework of swot and baud ' s value chain, was utilized to analyze the competitive circumstance and competitive predominance in the enterprise and provide with the basis of analyzing cash flux of the debt project then by a qualitative and quantitative analysis the characteristic of the debt project was analyzed, the debt - repaying ability estimated and the risk of it assayed

    首先,對企業的經營管理、財務狀況進行了分析,通過特定的財務分析方法體系對企業的償債能力狀況、財務效益狀況、資金營運狀況、發展能力狀況、現金流量狀況進行了橫向和縱向比較分析、評價和定位,通過管理診斷、層次分析的方法對企業的組織結構、原料供應與采購、生產計劃、生產組織、財務管理、材料處理、訂購過程、資產管理、運輸、倉、市場營銷、銷售以及客戶服務等企業價值鏈、供應鏈各環節進行了分析評價,以確定企業是否具實施項目的能力;其次,分析了企業和項目產出所涉及的產業、市場,按照宏觀、中觀、微觀的層次結構分析推進,運用了swot分析框架、波特的一般價值鏈分析框架和波特的五種競爭力模型對企業競爭環境及企業內部產生競爭優勢的能力進行了分析,為債項的現金流量分析提供了較為充實的依據;通過定量、定性的方法分析了債項的特性,測算了償債能力,對債項進行了分析評價。
  16. Mixed operation in china at present is restricted by many factors, including the level of economic development, the degree of financial marketlization, risk awareness of the financial institutions, level of risk management. regulation of the security market, environment of law enforcement. it development and talents reserve and so on

    我國要採取混業經營目前還受到諸多條件的約束,這些約束條件包括經濟發展水平、金融市場化程度、金融機構的意識和管理水平、股市監管水平、法治環境、信息技術的發達程度以及人才的等因素。
  17. Mixed operation in china at present are restricted by many factors, including the level of economic development, the degree of financial marketlization, risk awareness of the fin ancial institutions, the level of risk management, regulation of the security market, the environment of law enforcement, it development and talents reserve, etc. chapter ii : as a matter of fact, the major countries have all experienced a financial reform once or several times in choosing separated operation or mixed operation

    我國要採取混業經營目前還受到諸多條件的約束,這些約束條件包括我國的經濟發展水平、金融市場化程度、金融機構的意識和管理水平、股市監管水平、法治環境、信息技術的發達程度以及人才的等因素。第二章重點考察了世界主要國家的金融體制變革路徑。事實上世界主要國家在金融分業、混業的選擇上都經歷了一次或多次的變革。
  18. The emerging economies at the centre of the storm in the late 1990s insured themselves against a repeat by adopting flexible exchange rates, strengthening their banks, reorganising their external debts and building up huge reserves of foreign exchange

    曾經在90年代後期的經濟危機中處于暴中心的新興經濟國家為了防止歷史悲劇的重演,採用了浮動匯率、提升了銀行對金融的防禦能力,同時重組外債結構並大幅度提高外匯
  19. China is not intentionally manipulating its currency to gain an unfair trade advantage but its massive buildup of foreign reserves raises risks for the global economy, a u. s. government report said wednesday

    一篇美國政府報告星期三表示:中國並不企圖操縱其貨幣政策以獲取不公平的貿易優勢,然而它建立起的巨大的外匯引起了全球經濟的
  20. For example, one ground - breaking commission was the substantial report the department carried out for the mexican social security institute on the risks it faced and the reserves and policies needed to address them

    為墨西哥社會保障協會提供的關于及指導方針的報告就是一個鮮明的例子。
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