index of liquidity 中文意思是什麼

index of liquidity 解釋
憐性指數
  • index : n (pl es dices )1 索引。2 指標,標準,標志。3 示[食]指 (=index finger)。4 指數。5 【印刷】指...
  • of : OF =Old French 古法語。
  • liquidity : n. 1. 液性。2. 流動性,流暢。
  1. The result of this paper were : 1 ) the market mircrostructure of chinese stock is ' nt market maker, two - part stock can n ' t circulate and the scale of current stock is small, so, filling right effect make dividend event do n ' t diluate the price, the stock price could n ' t reach optimal price ; 2 ) the meanings of bid - ask speed in chinese has been changed, did n ' t reflect the real trade cost, only reflect the possible trade cost, contained desire of price popple, din n ' t belong absolute liquidity again ; 3 ) turnover rate is a liquidity ' s index, speculation ' s index too, which can explain one side of liquidity, but this index is defective in chinese stock market ; 4 ) martin index was decrescent when dividend event occurred, display the liquidity of stock was improved, so, the martin index is compatible index to measure chinese stock liquidity ; 5 ) stock dividend event affect the liquidity in the stock dividend day, stock dividend event can n ' t dividend event in the bulletin day ; 6 ) the quantity stock dividend and trend of stock market was significant factors that affect the liquidity

    本研究的結論是: 1 )中國股票市場的微觀交易結構並不是採取做市商制度,且2 3的股票不能流通,流通股規模很小,存在著股票股利事件后的快速「填權」效應,使股票價格快速回升,股票股利發放事件的稀釋價格作用無法發揮,也就無法達到「最適價格」 ; 2 )中國股市的買賣價差的含義發生了變化,不再是實際交易成本的反映,只是可能交易成本的反映,因而很大程度上代表了股價的波動意願,並不具有完全意義上的流動性含義。 3 )就換手率而言,它既是流動性的衡量指標,也是最常用的衡量投機性的指標。換手率指標只能說明流動性的一個側面,在中國衡量流動性是有缺陷的。
  2. The intention of this part is to find the insufficiency in management of our commercial bank, espial of state - owned banks, by comparison. it is completed through the calculation of index according to the order of liquidity, security and profitability

    其次,以「三性」原則為序,運用財務指標,指數模型分析我國國有獨資商業銀行與股份制商業銀行的經營狀況,通過比較找出相應的差距和根源。
  3. The empirical research shows that : intraday liquidity increases with the time ; depth index is more valuable than width index ; liquidity is positively correlated with the value of stock price

    研究結果表明,中國證券市場日內流動性逐時增加;市場深度指標較之市場寬度指標更有價值;流動性與股價絕對值成正比關系。
  4. Then, this paper introduce a new method of measuring the risk ? ? cohesive value at risk ( cvar ), which is more logical than the var on optimizing the portfolio according to the characteristic of the stock bargaining market of our country, it constructs a corresponding index of liquidity risk of the stock assert of the open - end fund, and by constructing a optimized model in cvar, the liquidity risk of stock assert of the open - end fund is efficiently controlled

    接著,本文引入了一種全新測量風險的方法cvar方法,並且根據我國交易市場的特點構造了相應的開放式基金股票組合的流動性風險指標,通過構造cvar調整的投資組合風險優化模型有效的控制了股票資產組合的流動性風險。本文的研究表明: ( 1 )開放式基金股票組合的流動性風險具有明顯的尾部風險。
  5. They are liquidity index, the degree of deposit concentration, the balance and demand of funds and finance index of liquidity

    主要有流動性指數、存款集中度、資金差額和資金要求和流動性財務指標。
  6. Index of liquidity

    憐性指數
  7. Through analyzing this bang ' s financial ratio index and the factors which affect its liquidity, we think that the bank ' s present cash ratio, liquidity ratio, deposit and credit ratio, the total credit amount to total asset ratio, bad loan ratio can all meet the requirements of the concerning laws and regulations and they all going toward well directions

    通過對影響湘潭建行流動性因素和財務比率指標的分析,我們認為該行目前的現金比率、流動比率、存貸比率、貸款總額與總資產之比,或能滿足有關規定、或在向好的方向發展,且市場信息狀況較好。
  8. According to safety, liquidity and profit of fund of the branch of commercial bank, it provides method for commercial bank how to supervise index

    這對商業銀行總行根據分行資金的流動性、安全性、盈利性應該重點監管哪些監控指標提供了方法和參考依據。
  9. This paper used bid bid - ask spread, rare of stock turn, martin index as liquidity index, adopted event method analyze the sample of a marketable companies on shenzhen stock exchange, analyzed stock response on bulletin day, 15 days before bulletin day, 15 days after bulletin day, and dividend day, 15 days before dividend day, 15 days after dividend day by test the liquidity indexes, also considered some factor ' s influence, such as about the scale of companies, quantity of stock, the trend of share index at bulletin day and dividend day

    本文利用了買賣價差、換手率和馬丁指數等三個表徵流動性的定量指標,運用事件研究法對我國深圳交易所發行a股公司的股票股利發放影響情況進行實證分析。對公告日(當日停盤則為下一個交易日) 、除權日、及前後15個交易日流動性指標進行了配對樣本t檢驗;同時分析了公告日及除權日上市公司流通規模、公司股價、股票股利的數量、大盤走勢,送增比例等因素對流動性的影響。
  10. Then, according to the cause of formation analysis, find out that the influential factor of liquidity risk mainly derive from two aspects - the internal structure of asset and liability and external economic environment, affirm and quantitatively analyze the influential degree of these factors for liquidity risk by means of static index method, correlation coefficient method, liquidity gap method, consequently acquire the major influential factor of liquidity risk

    然後,結合成因分析,找出國有商業銀行流動性風險的影響因素主要來自於銀行自身資產負債結構和外部的宏觀經濟大環境兩個方面,並分別利用靜態指標法、相關系數法、流動性缺口模型法對影響因素對流動性風險的影響程度加以量化確認,從而明確現階段流動性風險的主要影響因子。
  11. The first level is objective level, which measures bank ' s performance ; the middle level reflects liquidity, security, and profitability, which are the basic management principles of commercial banks ; the bottom level is index - level ; the eleven indexes of which are used to measure the three principles in the middle level

    該模型分為三個層次:第一層是目標層,反映銀行綜合經營業績。第二層是準則層,指標包括流動性、安全性和盈利性三個方面,反映銀行的經營原則。第三層是指標層,共包括11項指標。
  12. The month correlation is also explained by some macroeconomic factors. by comparing various liquidity measures, a liquidity index is compiled, which can measure consistently the liquidity of chinese stock and bond markets, and compare the

    通過對流動性衡量方法進行比較分析,本文編制了流動性指數,用以統一度量中國股票市場與債券市場流動性,從而為比較分析股票市場與債券市場的交易情況以及流動性情況奠定了基礎。
  13. In chapter two, this text compared the relevant liquidity index, and then according to the operation characteristic of the open - ended fund, combining probability with the redeeming rate of the open - ended fund, on the basis of drawing lessons from the famous model " var ", put forward " r _ var ", the liquidity index of the open - ended fund, and it has done the positive research

    在第二章中,本文對相關的流動性指標作了比較,而後根據開放式基金的運作特點,將開放式基金的贖回率和概率相結合,在借鑒著名的var模型的基礎上,提出了開放式基金的流動性指標r _ var ,並作了實證研究。
  14. It is proved in theory and in practice that the market liquidity is an important factor of obtaining insider trading profits by large shareholders, also an important reference index to policy maker for insider trading

    理論和實證顯示證券市場的流動性是影響大股東獲取內幕交易利潤的一個重要因素,也是內幕交易政策制定者的一個重要參考指標。
  15. The transaction of stock index futures should adopt electronic exchange in futures exchange. the transaction of stock index futures will expand scale and add liquidity of security market. at the same time, it also will improve structure and change though of investors

    股指期貨的開設將對現貨市場產生以下影響:有利於擴大證券市場的規模,增加市場的流動性;改善投資結構,擴大投資者層面;轉變投資理念,由目前投機型理念逐漸轉為價值型投資理念;同時,也將完善證券市場功能與體系,增強我國證券市場國際競爭力。
  16. When the investors hold a large amount of stock positions, sales mechanism will not impact arbitrage, and its impacts on the stock index futures transaction is very limited ; however, market - making system aims to promote the liquidity in the securities or future contracts

    當投資者事先擁有大量股票頭寸時,做空機制對套利交易沒有影響,對股指期貨交易的影響十分有限;而做市商制度的初衷一般是為了提高證券或期貨合約的市場流動性。
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