international finance research 中文意思是什麼

international finance research 解釋
國際金融研究
  • international : adj 國際(上)的,國際間的;世界的;〈I 〉國際勞工聯盟的;〈I 〉國際信號的。 an international con...
  • finance : n. 1. 財政,金融,財政學。2. 〈pl. 〉歲入,財源,資金。vt. 1. 為…供給資金,給…通融資金。2. 賒貨給…。vi. 掌握財政,處理財務。
  • research : n. 1. 仔細搜索 (for, after)。2. 〈常 pl. 〉研究,調查,探測;追究。vt. ,vi. 追究;調查,研究 (sth. , into sth. )。
  1. 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基礎上,概述了上海國際航運中心建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金融、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,側重於對合作博弈、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建設的重要前提,雙方基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建設而作出努力。
  2. He has held visiting positions at university of british columbia, university of california at los angeles, china - europe management institute beijing, china - europe international business school shanghai, norges handelshoyskole, helsinki school of economics, and nanyang technological university. prof. firths research interests cover issues in accounting, auditing, economics, and finance

    同時他曾在不同大學擔任客席的教授職務,包括加拿大哥倫比亞大學加州大學洛杉磯分校中歐管理學院北京中歐國際工商學院上海挪威卑爾根的norges handelshoyskole大學及南洋理工大學,研究興趣涵蓋會計核數經濟及財務。
  3. Now group company ' s three big pillar industry : the guarantee profession is grasping realization link bohai sea mayor the extended meeting 12th conference considers through the creation link bohai sea guarantee network bill, has interpolated the tianjin non - to be listed stock : ; the real estate industry is positively operating the tianjin conch shell bay center commerce business district development building items of basic construction, the construction surrounding seas union investment collection regimental head quarter headquarters building, the international commercial port building and the finance guarantee the building, is the collection first - class standard comprehensive commerce business center, the synthesis star class hotel, the office is a body multi - purpose, the high scale, the modernized large - scale commerce building, presently faces the domestic and foreign buying in partner, has set up the tianjin link bohai sea steel unit ' s production craft and the equipment design, the research and development work

    現在集團公司的三大支柱產業:擔保行業正在抓緊落實環渤海市長聯席會第十二次會議審議通過的「組建環渤海地區擔保網路」議案,以參入天津市非上市公司股權流通試點工作,進一步增資擴股;房地產業正在積極操作天津市響螺灣中心商務商業區開發樓宇建設項目,建設環海聯合投資集團總部大廈、國際商務港大廈和金融擔保大廈,是集一流水準的綜合商務商業中心、綜合星級酒店、寫字樓為一體的多功能、高檔次、現代化大型商務樓,現面向國內吸納合作夥伴;組建了天津環渤海鋼鐵工程技術開發有限公司,實施取向硅鋼機組的生產工藝及設備的設計、研發工作。
  4. At research postgraduate level, lingnan offers mphil and phd programmes in chinese, cultural studies, english, history, philosophy, translation, visual studies, business including accounting, finance, insurance, international business, management, marketing, operation research and decision sciences, and social sciences including economics, politics and sociology

    招生的學位課程包括中文文化研究英文歷史哲學翻譯視覺藝術商學包括會計財務保險國際企業管理市場學運籌學及決策科學及社會科學包括:經濟政治及社會學。獲錄取的研究生將就特定范疇進行深入研究工作。
  5. After years of research, the international federation of accountants has issued a full set of exposure drafts on accounting standards for governments. they have captured the hard - earned experiences of developed countries that have adopted the resource accounting concepts for many years. these clear and fair accounting standards have provided the modern tools to develop the next generation of international culture in public finance management

    其實國際會計師公會經多年的研究,現已向有關會員國的政府發出諮詢會計準則,引用多個已沿用資源管理會計概念resource accounting多年的先進國家經驗,希望在公共財務管理所用的會計工具方面,可逐漸建立一套清晰而又公正的現代國際標準。
  6. Issuing to village the policy subsidying the small sum in interest an agricultural loan a valid path for always is academic circles with poor population in generally accepted the village of solution in government in all levels, promoting village developping, from current see theoretically, the small sum of the certain scope inside subsidying the interest lends money of issue, will promote the agriculture and the development of the village, increase poor and homely income in village level, but the small sum subsidying the loan of interest is can increase the income level of the peasant household, lend money a problem for increasing accepting together native average in circumstance increasing accepting sum comparing, result how, this is this text wanting resolving, this text pass to the inquisition of the loan peasant household, in collecting large quantity one hand material of foundation, is all each county downtown to is investigated the data proceeded to gather, statisticsing the contrast circumstance that loan an income change the circumstance and increase with native average the sum, the loan sum that will be investigated the peasant household, invest the realm proceeded the contrast, and borrow funds with the region not door of that year income increment the sum proceeded the comparison. use the different from lengthways the method research that compare investment in fixed amount realm, different loan sum, not the environmental loan in area in county door increases to accept sum and its correlations. come to explain the public finance subsidy the small sum in interest an agricultural loan an influence for to peasant household income, analyzing the small sum in policy an agricultural loan an influence for to increasing accepting the factor, discussing the policy stick the small sum in interest an agricultural loan a shortage for of policy blemish and managing top, combining domestic and international policy of now of combination an agricultural loan a policy for of policy with managing way, to small sum in policy in our country an agricultural loan style establishment and manage the mode put forward a little bit personal views, the writer thinks that develop the policy an agricultural loan a root for of a farming using is a financial environment of village to push forward financial system in village reform to reform with political setup, improve village finance serve, create a competition, norm, subsidying the interest the loan the solution limitedly not farmer of letter funds need problem

    向農村發放政策性貼息小額支農貸款一直是學術界和各級政府比較公認的解決農村貧困人口,促進農村發展的有效途徑,從現有的理論上看,一定范圍內的小額貼息貸款的發放,會促進農業和農村的發展,提高農村貧困家庭的收入水平,而小額貼息貸款是不是能夠提高農戶的收入水平,貸款戶的增收情況同當地的平均增收額比較,效果怎樣,這是本文所要解決的問題,本文通過對貸款農戶的調查,在收集大量第一手材料的基礎上,將各縣市區所有被調查數據進行了匯總,統計出貸款戶收入變化情況以及與當地的平均增長額的對比情況,將被調查農戶的貸款額,投資領域進行了對比,並與當地非借款戶的當年收入增加額進行了比較。用定量比較和縱向比較的方法研究不同投資領域、不同貸款額、不縣域環境的貸款戶增收額及其相互關系。來說明財政貼息小額支農貸款對農戶收入的影響,分析政策性小額支農貸款對增收的影響因素,論述政策性貼息小額支農貸款的政策性缺陷及管理上的不足,並結合當今國內外政策性支農貸款的政策和管理方式,對我國政策性小額支農貸款的政策制定及管理模式提出了個人的一些見解,筆者認為發揮政策支農貸款的支農作用的根本是推進農村金融體制改革和政治體制改革,改善農村金融服務,創造一個競爭、規范的農村金融環境,有限的貼息貸款解決不了農民的信貸資金需求問題。
  7. By borrowing theoretical system and analytical methods of international finance theory, the author tries to build a framework on the research of international regional economy from four aspects, including introduction, expenses, income, and policies of international regional finance

    借鑒國際財政的理論體系和分析方法,區域經濟一體化的國際財政國際區域財政研究的基本框架,可以從國際區域財政導論、國際區域財政支出、國際區域財政收入和國際區域財政政策等四個方面去構建。
  8. The research on the capital structure is one of the hot issues in the international financial theory fields, but also one of the most controversial issues in finance. as the continuous the perfection of china ' s capital market mechanism and the deepening of financing system reform, the chinese listed companies will have more financing channels to select. the financing structure of listed company presents the multifactor phase. at this time, it is especially important to research the financing behavior and the foundations of decision of china ' s companies. capital structure will influence the distribution of corporate surplus returns, the corporate surplus control power and the corporate managing structure, and finally the value of the company

    隨著中國投融資體制改革深化和資本市場機制不斷完善,中國上市公司將有更多的融資渠道可以選擇,公司融資結構呈現出多元化的局面。此時,研究中國公司的融資行為以及決策依據顯得特別重要。因為公司融資結構決策會影響到公司剩餘收益的分配、公司剩餘控制權以及公司治理結構,最後會影響到公司價值。
  9. This also is building the new management model of traffic finance and accounting and the foundation of content at the same time. at present, our country economy is being in the generation of phase in 21 beginning of the century, and the traffic cause also is in never existed before quick development particular period, and that the face government function changes and economical with the international meets the rail, and it is back especially to join wto, and whether traffic finance and accounting can work to suit the development requirement of traffic cause, various kind of finance and accounting problem in the creativeness settlement traffic cause development, further builds with the new finance and accounting management model of perfect traffic industry, is puts at the important subject in face of us. this thesis is being takes this as the purpose, and history and present situation are being in progress on the foundation fully analyzed what the finance and accounting to the traffic trade was worked, and the person who according to the government function changes concerned asks the basic train of thought that catching hold of before one that all finance and accounting reformation is worked, the research problem newly, solves new the problem, puts forward suiting the basic pattern of the finance and accounting of traffic trade development management work

    目前,我國經濟正處於21世紀初期的發展階段,交通事業也處於前所未有的快速發展時期,面對政府職能轉變和與國際經濟接軌,特別是加入wto后,交通財會工作能否適應交通事業的發展要求,創造性解決交通事業發展中的各類財會問題,進一步建立和完善交通行業新的財會管理模式,是擺在我們面前的重要課題。本論文正是以此為目的,在對交通行業財會工作的歷史和現狀進行充分分析的基礎上,抓住當前各項財會改革工作的基本思路,按照政府職能轉變的有關要求,研究新問題,解決新問題,提出適應交通行業發展的財會管理工作的基本模式。武漢理工大學碩士學位論文文章在第1章幫墓且重對職能轉變前交通行業行政與財會管理工作的狀況進行了分析,旨在提出在職能轉變前,交通行業財會管理工作存在的問題。
  10. Dr li has published about 50 academic articles in some influential journals such as sciences of law, research of international finance, modern science of law, etc

    曾在《法學》 、 《法律科學》 、 《國際金融研究》 、 《現代法學》 、 《國際經濟法論叢》等有影響性的專業學術期刊上發表論文50多篇,且著有專著「金融企業集團法律監管研究」一書。
  11. The thesis takes finance risk as research object which studies up on the theory system, statistic measurement models and policy of china macroscopic finance risk. the author applies lots of data in analyzing and evaluating china macroscopic finance risk from the establishment of market economic system, and tries to explore the discipline and characteristic, then bring forward theoretical source and policy suggestion for the strategic management of national macroscopic finance risk. the main contents is as follows : the first chapter defines risk, finance risk and macroscopic finance risk, then concludes the basic characteristic of macroscopic finance risk, involving the complexity and multiplicity of forming reasons generated latency, accompanying of finance development and severity of educing crisis. finally, it discusses forming mechanism of macroscopic finance risk from three aspects, such as general source, informational source and international background represents following action and gearing utility in the process from risk to crises

    本文以宏觀金融風險為研究對象,研究我國宏觀金融風險的理論體系、統計度量模型和政策,運用大量的統計數據對市場經濟體制建立以來我國宏觀金融風險狀況進行了分析和評價,試圖探索我國宏觀金融風險的變化規律和形成原因的特殊性,為國家宏觀金融風險的戰略管理提出理論依據和政策建議。其主要研究內容如下:首先,從風險、金融風險和宏觀金融風險等定義出發,總結了宏觀金融風險形成原因的復雜性和多重性、生成的潛伏性、與金融發展的相隨性和引發危機的嚴重性等基本特徵,從金融風險產生的一般根源、信息根源和國際背景三方面論述了宏觀金融風險形成的機理,最後闡釋了從金融風險到金融危機的傳導機制。
  12. Moreover, government should do further reform on the system of science and technology ; consolidate the establishment of technology innovation system ; perfect regulations, increase investment, enhance the protection of intellectual property rights ; increase investment for fundamental research, encourage to combine the study for innovation and the research on industrialization ; make attractive rules to international talents, encourage innovation and development of chinese science and technology ; actively guide and create venture capital market, and provide multidimensional access to finance for biotechnological industry

    這一戰略目標的實現應以「合作開發、改進創新、市場細分和成本最小」為主要方向,分三步完成。同時指出政府為發展中國醫藥生物技術產業,應在制定產業發展政策、強化國家科技創新體系建設、加強知識產權保護、鼓勵基礎性創新研究和產業化研究相結合、制定吸引世界性創新人才的政策以及培育風險投資市場等方面發揮更積極的作用。
  13. For advancing the core competition complicity and exploiting international market, this article quite systematic research credit risk measurement technology and management way, the main conclusion as following : analyzing several commonly used credit grading methods ’ good and bad points and their compatibility. facing to the characteristic with finance data lack in our country, using the grey systems theory, we propose one kind of credit grading method based on the degree of grey incidence in view of keeping away corporations ’ default, and gives the example analysis

    本文圍繞提升商業銀行核心競爭力和開拓國際市場的實際需要,針對我國商業銀行信用風險管理中的關鍵問題,如信用風險度量技術和管理方式等進行了系統的研究,主要內容如下:分析了幾種常用信用評分方法的優缺點及適應性,為有效防範企業違約,針對我國金融數據少的特點,提出了一種基於灰色關聯度的信用評分方法,並給出算例分析。
  14. China europe international business school holds a research seminar series in economics, finance and accounting ( efa )

    中歐國際工商學院舉辦經濟金融會計領域學術研討會系列。
  15. Norman chan has responsibility for monetary management, financial infrastructure, research, reserves management and international finance

    陳德霖先生負責貨幣管理、金融基建、研究、儲備管理及國際金融事務。
  16. He has also assumed research and policy positions in the bank of canada and the canadian government s department of finance prior to joining the international monetary fund

    在加入國際貨幣基金組織前,麥偉迪先後任職于加拿大銀行及加拿大政府財政部,負責研究及政策事務。
  17. Mr pang, who is currently chief executive officer of the hong kong mortgage corporation, will fill the deputy chief executive position left vacant since january 2003 and will be responsible for monetary management, financial infrastructure and research : the duties of this position have, over the past 17 months, been carried out by mr norman chan in addition to his own responsibilities as deputy chief executive in charge of reserves management and international finance

    彭醒棠先生現為香港按揭證券有限公司總裁,他將會接任自年月以來懸空的副總裁一職,主管貨幣管理金融基建及研究事務。過去個月來,有關職責由主管儲備管理及國際金融事務的副總裁陳德霖先生暫時兼任。
  18. He, yin assistant professor ; ba, peking university, 1998 ; ph. d. in economics, university of colorado at boulder, 2004. research and teaching : international trade, multinational enterprises, intellectual property rights, econometrics, and finance

    何茵經濟學助教授。北京大學經濟學學士( 1998 ) ,美國科羅拉多大學(博爾德)經濟學博士( 2004 ) 。主要研究與教學領域:國際貿易、跨國公司、知識產權、計量經濟學、金融學。
  19. The high - frequent occurrence of monetary crisis in last century make the research on international short - term capital flow become the focus in the international finance field

    上個世紀多次貨幣危機的發生使得國際短期資本流動問題成為國際金融學領域的研究熱點之一。
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