bank portfolio 中文意思是什麼

bank portfolio 解釋
銀行有價證券
  • bank : n 1 堤,堤防;岸,河畔。2 埂,壟,堆。3 (海中水下的)沙洲,灘。4 斜坡,邊坡,坡度;轉彎。 【航空...
  • portfolio : n. (pl. portfolios)1. 紙夾;文件夾;公事包。2. 部長[大臣]的職位。3. 〈美國〉有價證券一覽表[明細表];(保險)業務量[業務責任]。4. (藝術家等的)代表作選輯。
  1. Land bank property portfolio

    土地儲備及物業組合
  2. They are nimble in making portfolio reallocations among bank deposits, debt and equity, hopping across the three different channels of financial intermediation and looking for financial arrangements and instruments that best suit their investment appetite

    他們會在銀行存款債券及股票這三種不同金融中介渠道中,不斷靈活調配投資組合,並尋找最適合本身投資需要的金融安排與工具。
  3. International capital flows from oecd markets to asia, in the form of bank credits, foreign direct investment and portfolio flows, have dropped significantly in the last few years

    過去幾年,以銀行信貸海外直接投資及投資組合形式,自經合組織市場流入亞洲的資金量大為減少。
  4. Being one of the selected five network service providers to industrial and commercial bank of china icbc, adt will continue to provide high - quality network maintenance services to a portfolio of 15 provincial branches

    作為中國工商銀行五大網路服務供應商之一,先進數碼將持續為15間省分行提供優質網路保養服務。
  5. This paper attempts to investigate the effectiveness of regulation on bank capital adequacy by applying alternative models, including flat - rate deposit insurance premiums, risk - based deposit insurance premiums, stochastic deposit interest rate and portfolio theory

    摘要本文及針對銀行資本比率管製作一研究,分別考慮在單一存款保險費率、風險基準存款保險費率、存款利率?隨機變數,及投資組合理論等四種分析模式下,探討金融主管機關對銀行實施資本比率管制之效果。
  6. Main ideas and structure after introduction of some important issues related to sterilized intervention, such as the definition, the reasons, the target of intervention and its relation to the independence of the central bank in chapter 1, the paper researches the effectiveness of the portfolio balance channel on theory in chapter 2. after comparing the classical exchange rate models with portfolio balance model, i find non - sterilized intervention is effective under both models, but sterilized intervention is effective only under the latter, given that the uncovered interest parity ( ucirp ) does not

    資產組合平衡渠道假定本外幣資產是不完全替代的,即無拋補利率平價不成立,央行通過影響投資者資產組合中不同貨幣標價的資產的相對供給量來影響匯率,沖銷干預有效;在預期渠道下,央行通過影響市場參與者對央行干預量的預期,影響其決策和行為,從而影響匯率。
  7. Open - end funds liquidity risk refers to the uncertainty that fund managers can redeem the portfolio at stable price in a given period when a large - scale withdrawal occurs, the extremes of which is quite similar to a run on the bank

    開放式基金流動性風險是指基金管理者在面臨大規模贖回壓力時,難以在確定的時間內以穩定的價格將其投資組合變現而引起的不確定性,其極端情況類似於銀行的「擠兌」風險。
  8. American express bank ltd., at a signing ceremony held today 24 june 2002, signed a forward commitment agreement with the hong kong mortgage corporation hkmc to sell an aggregate of hk 4 billion of mortgage loans from its retained portfolio to the corporation in the next 12 months

    40億港元按揭貸款預先承諾協議及負資產按揭保險計劃簽署儀式美國運通銀行於今日簽署預先承諾協議在未來十二個月內出售現有總值40億港元按揭貸款予香港按揭證券有限公司按揭證券公司。
  9. Cancers are natural money - makers and do well as bond traders, bank executives and stock portfolio managers

    巨蟹座人是天生的賺錢好手,適合擔當證券交易員、銀行行政人員和股票經理的職務。
  10. I claim in the website that has hypostatic store saw good clothing, contact load to take then, gross 375 yuan, the following day i collected money to go ( collect ) with cash directly, i made a telephone call immediately, customer service said to odd was not collected when i collect money in the evening that day, and their company portfolio is too large, check very hard without what collect odd, my zhang brings into the likelihood inside company boss account, i call him to call a boss to check, he says the boss wants ability of next month base to handle, i consider the power that their manager did not audit accounts in fact this kind of case also can appear, check my zhang very hard, the problem is he says to want me to collect many similar fund to add an odd again, the system can show the money that i collect, if want me to collect 375. 25 yuan again, collected them to return my money reappearance money so, i ask him this is what principle, he says is " of business of mobile phone of " odd inquiry, after all does industrial and commercial bank have such business

    我在一間自稱有實體店的網站看了不錯的衣服,於是聯繫上客服,總共375元,第二天我匯了錢過去(直接用現金匯) ,我馬上打了一個電話過去,那天晚上客服說我匯錢時沒有匯到零頭,而他們的公司業務量過大,沒有匯零頭的很難查到,可能我的賬納入到公司老闆賬戶裏面,我叫他叫老闆查,他說老闆要到下一個月底才能處理,他們經理沒有查賬的權力我想事實上這種情況也會出現,很難查到我的賬,問題是他說要我匯多一筆同樣的錢再加個零頭,系統就會顯示出我匯的錢,如要我再匯375 . 25元,這樣匯了他們就返回我的錢再發貨,我問他這是什麼原理,他說是"零頭查詢手機業務" ,究竟工商銀行有沒有這樣的業務
  11. As compared with your mutual fund portfolio balance amount held with american express bank as at march 31, 2007

    相比于客戶在美國運通銀行之基金組合在2007年3月31日的總值。
  12. Its results included two - month profit contribution from the belgian bank. while merger synergies is still latent, the acquisition of belgian bank significantly diversified icbc ( asia ) s loan portfolio and revenue soucres

    雖然合併的協同效益仍未具體反映,但收購華比銀行令中國工商銀行(亞洲)貸款組合和收入渠道更為多元化。
  13. Its results included two - month profit contribution from the belgian bank. while merger synergies are still latent, the acquisition of belgian bank significantly diversified icbc ( asia ) s loan portfolio and revenue sources

    雖然合併的協同效益仍未具體反映,但收購華比銀行令中國工商銀行(亞洲)貸款組合和收入渠道更為多元化。
  14. Under the asset swap arrangement, the hkmc will purchase a portfolio of mortgage loans from a bank. in return the hkmc will issue an equivalent amount of debt securities under its debt issuance programme to the bank

    透過資產交換安排,按揭證券公司向銀行買入按揭貸款組合,並根據其債務工具發行計劃向該銀行發行等值債券。
  15. It helps the bank manage the concentration and liquidity risks of its mortgage portfolio and provides the means for the corporation to fulfill its objective of enhancing monetary and banking stability by acting as a liquidity provider for financial institutions.

    這計劃為銀行提供一個有效的工具,減低按揭組合過度集中的風險及有利於流動資金風險管理。同時,可讓按揭證券公司為金融機構扮演提供流動資金的角色。
  16. This paper is aimed at two central problems which exist in the credit risk management of the portfolio : first, if the loan defaults, how much loss there will be ; second, how much reserve that the bank must prepare for the loss caused by risk, and do a deeply research on the related question and have a calculation in detail

    本文針對商業銀行貸款組合信用風險管理中存在的兩個基本問題:一、如果貸款發生違約時,具體損失有多少;二、銀行要準備多少資本金才能應付風險造成的損失,就相關內容做了詳細的數值計算和深入探討。
  17. The first whiff of wells fargo ' s home equity woes surfaced last month when the bank reported it lost $ 153 million on the portfolio in the third quarter, up from $ 27 million at the same last year

    最開始的端倪初現在上個月富國銀行發布報告在第三季度損失了1 . 53億美元,而去年此時的報告則只有2700萬美元。
  18. On a micro level, the rationale of bank m & a lies in economies of scale, which is objectively limited by techniques, technology and management, and it also lies in reducing relevant costs, diversifying operation risks, etc. as a means of diversifying individual bank portfolio, the global bank m & a secures the economic interests of the banking industry and guarantees the stability of banking industry as well as strengthens its international competitiveness

    全球銀行業並購對發達國家而言,既保證了銀行業自身的經濟利益,又增強了銀行業的國際競爭力,使發達國家內部銀行業更協調,以更大、更迅速的步伐走向海外。銀行並購有成本,但也有風險,並購過程中必須有效地進行風險控制。面對全球銀行業並購重組趨勢,中國的民族銀行業切不可作岸上觀,錯失良機,更不能坐以待斃,成為「犧牲品」 。
  19. The dealing procedures of our open - ended mutual funds are conducted on each bank business day in hong kong, except corresponding public holidays in luxembourg. proactive investors could reassess their portfolio in response to the constantly changing investment environment

    我們的開放式互惠基金交易可在任何交易日進行盧森堡公眾假期除外,投資者可以隨不同投資環境轉換基金。
  20. As an investment instrument, investment fund has the distinct advantage of combining capital, financial management expertise, and portfolio investment and risk diversification. in china, as a report by xiabin, an official of the people ' s bank, the private investment fund has reached to about 800 billions rmb which is one half of the current market value in the stock market

    基金作為一種投資工具,具有「集合資金、專家理財、組合投資、分散風險」的特點,既彌補了單個個人在投資機會方面的不足與限制,又滿足了人們受限於銀行儲蓄而願意更廣泛地參與投資的要求。
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