currency regulation 中文意思是什麼

currency regulation 解釋
貨幣管理條例
  • currency : n. 1. 通貨。2. 通用,流通,流傳,傳播。3. 市價,行情。4. 流通時間。
  • regulation : n 1 規則,規程,規章,條例。2 控制,管理,限制,(情慾等的)節制。3 調整,調節,整頓。4 校準;穩...
  1. Because of imperfect in regulation, laws and market, the model brings out lots of problems such as insider - control, excessive freedom for large stockholder, no efficiency of supervisory, hollowing out the listed firm, etc. the fourth chapter : to solve the problems of corporate governance in china, we must do these things as follow : to diminish the difference of currency stock and incurrence stock, to realize that common stocks have common rights, to perfect the stimulation and control mechanism, to perfect the - structure of the board of the directors through introducing independent directors, to perfect market system and law system

    4 、研究問題的目的是為了解決問題,而要解決我國公司治理中的問題,不但要克服制度構造的缺陷,逐步縮小流通股與非流通股的利益差別,實現同股同權:要完善公司的激勵、約柬機制,改善董事會的結構,引進獨立董事,加強公司對其他利益相關者利益的考慮:而且還要建立和完善市場體系,加強法律和執法體系的建設,使外部治理市場和法律、法規在公司治理中發揮強勢的監督和約柬功能,最終形成公司治理的良勝生態環境。
  2. This paper from the view of financial capital globalization, studies on the effects of financial capital flow, the relationship between capital flow and financial crisis, the choice of regulation or deregulation and the problem of china ' s financial safety. firstly, this paper discusses the conceptions of economic globalization, financial globalization and financial capital globalization and based on the existing capital flowing theories and financial theories, sets up an academic framework for further study. secondly, this paper applies a representative new currency crisis model - - - - - - c - p - r model to analyze the effects of capital controls

    本文首先對金融資本全球化與經濟全球化、金融全球化進行界定,在充分吸收現有的資本流動相關理論和金融危機理論的基礎上,建立起統一的理論分析框架;然後運用一個有代表性的第三代貨幣危機模型? ? c ? p ? r模型分析了資本控制的有效性;繼而,建立了一個小型開放經濟的三階段模型進行了資本控制有效性的數理分析,並在此模型中,運用博弈論進一步探討了間接資本控制的有效性及有效稅率;進而,比較討論了發展中國家可供選擇的資本控制措施,認為資本控制應主要採用間接措施;最後,從資本流動角度對中國金融安全現狀進行分析,並有針對性地提出政策建議,尤其是資本帳戶的開放一定要恪守循序漸進的原則。
  3. Except for the introductory remark and the conclusion, the paper contains seven sections, mainly involving the following contents and viewpoints : the establishment of the relative offical position, the enactment and restriction of commercial right, the regulation of the relative marketing administration, the issuance of the currency, the revenue law, the salt and tea law, the foreign trade law and the comerical custom law etc. the paper analyses the matters that how the government of ming exerted appropriately the national functions and taked full advantage of legal instruments to regulate the commercial activities

    除導論和結論以外,本文有七章組成,主要內容有:有關官職的設置、商事權利的設定及其限制、有關市場管理的規定、錢幣的發行、稅收法、鹽茶法、對外貿易法、商事習慣法等等。具體地分析明朝政府如何因時制宜,行使國家的職能,充分利用行政、經濟等法律手段調節商事活動,正確評價國家制定法與民間習慣法之間的相互作用,指出明代商事法制所存在的種種弊病。
  4. At least 30 per cent of the net asset value of the china value fund will be exposed to hong kong dollar currency investments as measured by the effective currency exposure in accordance with s. 16 of schedule 1 of the regulation

    中華威力基金資產凈值最少百分之三十會根據規例附表1第16條的有效貨幣風險計算承擔港元貨幣投資項目。
  5. Know and grasp government and local policy and regulation on tax, bank and foreign currency

    熟悉國家/地方關于稅務、銀行、外匯等方面的政策與法規。
  6. It is made up of labeled - currency, inspection management, operation regulation, ones that join in the market ( governments in asia, banks, institution investors, cooperatives, and so on ), credit classification, technology support. this article studies the background in which the asia bond market builds, and the development of the market, argues some suggestions about the

    本文介紹了亞洲債券市場建立的背景和主要進展,並分析了阻礙其發展的影響因素,對如何建立亞洲債券市場提出了相應的對策,對于推動亞洲債券市場的發展和促進我國債券市場的不斷完善,進而最終推動我國經濟的發展具有一定的借鑒意義。
  7. Through analysis on its business and financial situation, the interior structure is analyzed. targeting the chronic disease of the stock market that there is varnishing of financial reports, the reasons for adulteration of financial reports are analyzed. measures are discussed for prevention of adulteration of financial reports, for reference for effective control of adulteration and varnishing of financial reports of listed companies and for gradual regulation of china ' s capital market and currency market

    本文將從這些角度出發,重點選擇錦州港作為研究對象,通過基本面分析和財務分析,剖析其內在的脈絡構成,針對財務報告粉飾這一證券市場的「痼疾」 ,分析虛假財務報告產生的原因,探討防範財務報告粉飾的措施,為有效遏制上市公司財務報表虛假粉飾,逐步規范我國的資本市場和貨幣市場提供借鑒。
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