investment in bond 中文意思是什麼

investment in bond 解釋
債券投資
  • investment : n. 1. 投資;投資額;(時間、資本等的)投入;投入資金的東西。2. 授職(儀式);授權。3. 包圍,封鎖。4. 覆蓋。
  • in : adv 1 朝里,向內,在內。 A coat with a furry side in有皮裡子的外衣。 Come in please 請進來。 The ...
  • bond : n 1 結合(物),結合力,黏合(劑),聯結。2 束縛,羈絆; 〈pl 〉 拘束;鐐,銬。3 契約,契約義務,...
  1. As a new financing instrument, since convertible bond came to the capital market of china, becase of its speclation and investment, it was accepted by government and companies and investors convertible bond may play an important role in broadening enterprises ' financing channels, enrich the variety of investing instruments and make our security market prosperous. csrc has issued the interrelated rules for public firms issue the convertible bonds. until the end of 2001, it has 55 firms plan to issue the the convertible bonds. but by end of 2002 only 5 firms issued the convertible bonds because of investor ' worry. but in 2003, the management strengthens the security market such as some public firms just to " fold money ", the convertible bonds become the most invest tools for the public firms refinance. only if the behavior of issuing convertible bonds is normalized our security market can tend towards a mature way, social capital can be optimized, and the public firms can also develop in an ample area. this paper base on the character of the convertible bonds

    國務院證券委員會在1997年3月25日頒發了《可轉換公司債券暫行管理辦法》 ,又於2001年4月26日頒發了《上市公司發行可轉換公司債券實施辦法》關于可轉換債券的規定和條例,對上市公司發行可轉換公司債券的要求條件比配股、增發更為寬松,截止到2001年4月,有200多家上市公司夠發行可轉換債券資格,到2001年底有55家公司計劃發行可轉換債券,但受到一些上市公司通過配股、增發等「圈錢」的影響,投資者對上市公司通過發行可轉換債券再融資是不得不持審慎態度, 2002年全年僅5家公司實施了可轉換債券,共籌集資金41 . 5億元人民幣,從總體發行情況看,發行規模越來越小,利率越來越高,投資者認可程度越來越低,發行和交易狀況每況愈下。
  2. Focusing on the present condition of the investment and financing system in china, which could not adapting the requirement of the fast urban rail transit construction, the author puts forward several quoteworthy modes of investing and financing, such as bot tot, abs bond teasing and confinancing, and argues that these modes are within the suitable extent for our urban rail transit construction

    摘要針對目前我國投融資體制不適應快速發展的軌道交通建設需要的現狀,提出了bot 、 tot 、 abs 、債券租賃、聯合融資等可借鑒的投融資模式,並對這些投融資模式在我國軌道交通建設中的適用程度作了初步探討。
  3. At american express bank, we have made available for you a selection of over 400 mutual funds managed by reputable fund houses such as american express asset management company luxembourg s. a., aberdeen international fund managers, abn amro asset management, alliancebernstein, fidelity investments management hong kong limited, franklin templeton investments, henderson global investors, jf asset mangement, lyxor and schroder investment management. the broad range fully covers the equity, bond and money markets, as well as providing you access to attractive opportunities in both developed and emerging markets

    美國運通銀行提供超過400種由不同之國際知名基金公司-美國運通資產管理安本國際基金管理荷銀投資管理聯博香港有限公司富達基金香港有限公司富蘭克林鄧普頓投資henderson global investors jf資產管理領先投資管理及寶源投資等管理的互惠基金,廣及股票債券及貨幣基金,讓您輕易進軍發展國家及新興市場投資,跨越地域界限。
  4. As a developing country in the process of transmission, we suggest that china select a synthetical method to finance annuity, including the social insurance tax, pension bond, social insurance lottery, treasury compensation and selling national assets, etc. at the same time, in the aspect of operation, we combines fixed assets investment, company and financial investment, stock investment and commerce credit to decrease risk and increase the value of annuity

    本文認為作為轉軌過程中的發展中國家,中國養老金籌資方式的選擇應綜合利用社會保障稅、養老保障國債、社會保障彩票、財政補貼和國有資產變現等方法,同時在運營方面要將固定資產投資、企業與金融債券投資、股市投資、商業信用等方法結合起來使用,以降低風險,確保增值。
  5. A bond investment strategy with with holdings are heavily concentrated in both very short - term and extremely long - term maturities. this is also known as the " dumbbell " or " barbelling.

    用持有股份的方法進行證券投資的策略主要集中在短期以及長期的到期時間,這通常被稱做「啞鈴式」以及「杠鈴式」 。
  6. The recommendation of the fair and equitable value measurement model, will certain relatively affect the listed companies investment achievements, the centralism manifests in the investment real estate company, the huge annual bonus firm, the companies which holding the trad 4fa e bond, the stock service company and the company which anticipated to reorganize their company ' s liabilities

    公允價值計量模式的引用,將對上市公司相關投資業績產生一定影響,集中體現在持有投資性房地產的公司、持有大量法人股的公司、持有交易性證券的公司、擁有期貨業務的公司和預期進行債務重組的公司。
  7. The recommendation of the fair and equitable value measurement model, will certain relatively affect the listed companies investment achievements, the centralism manifests in the investment real estate company, the huge annual bonus firm, the companies which holding the trade bond, the stock service company and the company which anticipated to reorganize their company ' s liabilities

    公允價值計量模式的引用,將對上市公司相關投資業績產生一定影響,集中體現在持有投資性房地產的公司、持有大量法人股的公司、持有交易性證券的公司、擁有期貨業務的公司和預期進行債務重組的公司。
  8. The third kind of channels is the asset prices channels, in particular the equity ( stock and bond ) price channels, which include the investment - related tobin ' s q channel and the consumption - related wealth channel. the fourth kind of channels is the exchange rate channel. each channel is related to an implicit financial structure and the financial structure impacts on the scope and relative strength of the concerned kind of monetary transmission channels

    第3章根據資金流量帳戶,從金融工具的發展速度和順序、金融總體相關比率和相對比率、金融機構和金融市場的結構和滲透程度、非金融部門(居民、企業和政府)的金融資產負債結構共四大方面,系統地考察了中國金融結構的變遷軌跡,以及以美國為參照系的演變前景。
  9. Finance training center : training courses for the practitioners in finance and investment , commercial bank, investment, fund, bond, securities, trust production and etc

    金融培訓中心:投融資、證券、基金、債券、信託產品等金融與投資領域從業人員專業培訓。
  10. All the countries in asia should do their best to develop the asia bond market, build a way of investment conversion, to promote economics development in asia. the development of asia bond market has a very important effect on asia, even the world

    中國作為一個發展中大國,曾長期專注于國內的經濟發展,隨著綜合國力的逐步增強,隨著對外經濟聯系的逐漸擴大,中國應以積極的態度發展與亞洲各經濟體的關系,推動亞洲債券市場穩步發展。
  11. Stock - oriented open - end fund is mainly invested in the stock market. generally speaking, in the long run stocks investment will yield more than the bond investment and the investment in monetary market. it is popular among the investors because the specialized management and experience in investing

    股票型開放式基金主要投資于各種股票,從長期來看,股票投資的收益高於債券投資和貨幣市場工具投資,由於其具有專業化的管理,成熟股票投資經驗等特點,越來越受到廣大投資者的歡迎。
  12. While a fully integrated bond market in asia may still be some way off, a pan - asian investment product such as the paif will help the pooling of savings within and outside the region for investment in domestic currency bonds

    雖然一個全面整合的亞洲債券市場仍有待形成,但像沛富基金這類覆蓋亞洲區的投資產品,將會有助集合區內以至區外的儲蓄資金,投資于當地貨幣的債券。
  13. Junk bonda bond that is rated by a ratings agency as being below investment grade and investment in the bond is high risk

    垃圾債券被信用級別評定機構評定為低於投資級別的投資風險高的債券。
  14. Over the past year, the people of hong kong have clearly demonstrated a greater interest in bond investment. this is partly due to the low interest - rate environment, which has prompted some people to transfer a portion of their bank deposits to the bond market, and partly because some investors use the bond market as a means to diversify their investment risks

    過去一年,香港市民投資債券的興趣明顯比以前濃厚,其中一個原因相信是銀行利率處于低水平,因而吸引他們把部分銀行存款轉投債市,亦可能有部分投資者藉投資債券以分散風險。
  15. Securities investment fund refers to the fund in the form of fund securities, mainly used for national bond, stocks, corporation bond and relatives

    證券投資基金是指發行基金證券所籌集的資金主要投資于國債、股票、公司債及各種衍生產品的投資基金。
  16. But the foundation of cis is the mechanism that is ca1led cis governance which c2 [ n protect investment interest effecti ve1y because the mora1 hazdrd exist s more seriously in cis than in other financial instruments such as bank deposit, stock and bond

    證券投資基金發展的前提是對基金投資者的保護,也就是有一個好的基金治理結構。不論是從委託代理理論來說,還是從消費理論來說,總是存在信息不對稱產生的基金管理人的道德風險問題。
  17. In order to solve the conflict of supply and demand, firstly, this particle discusses the characters of the national budget investment the emission of stock, attracting foreign capital and invest direct, domestic banks " loan, international financial organizations and foreign governments " loan, and the emission of bond, the bot mode and other financing manners. also, the particle analyses the resources of each financing manner and characters concretely. then, it analyses the scale, cost, construction and manner of highways " raising project, and it emphasizes banks " loan domestic and overseas, the emission of stock and bond, the attornment of highway ' s charge rights, the capital cost of bot financing manner, and uses the model to calc ulate the compositive capital cost, then build the worst ( in the worst environment hypothetically ) and the best scheme ( in the best environment hypothetically ) accordingly, after the comparison, we can obtain the status of the project ' s net cash flux, the debt ' s endurance capability, income and a series of data in any possible state, so that to get the optimized scheme and prepare for the scientific decision

    為了解決資金的供需矛盾,本文首先論述了國家預算內投資、發行股票、吸收國外資本直接投資、國內銀行貸款、國際金融組織和外國政府貸款、發行債券、 bot方式等融資渠道的特點,具體分析了各融資方式的資金來源渠道及它們的特點;接著分析了公路項目籌資的規模、成本、結構和方式,重點分析國內外銀行貸款、發行股票和債券、轉讓公路收費權、 bot融資方式資金成本,用模型的方式具體計算綜合資金成本,建立相應的最差方案(在假設的最差條件下)和最佳方案(在假設的最好條件下)與之進行比較,獲取在各種可能條件下的項目凈現金流量狀況、債務承受能力和收益情況等一系列數據,確定整體最優方案,為科學決策做準備。
  18. An ancient name for china is blue prepare core to fund starts family foundation transition by former an ancient name for china and come, the new fund after transition uses lof ( bourse trades fund ) trade form, investment limits occupies 20 % - 95 % for the stock, bond occupies 0 - 80 %, asset supports negotiable securities to invest the scale range that holds fund asset net value to be 0 - 20 %, authority card invests the scale range that holds fund asset net value to be 0 - 3 %, cash and maturity are in the governmental bond of 1 year of less than not 5 % under fund asset net value

    華夏藍籌核心基金由原華夏興科基金轉型而來,轉型后的新基金採用lof (交易所交易基金)交易形式,投資范圍為股票佔20 % - 95 % ,債券佔0 - 80 % ,資產支持證券投資占基金資產凈值的比例范圍為0 - 20 % ,權證投資占基金資產凈值的比例范圍為0 - 3 % ,現金以及到期日在1年以內的政府債券不低於基金資產凈值的5 % 。
  19. The balance of the exchange fund assets that constitute the investment portfolio is invested in oecd bond and equity markets to preserve the value and long - term purchasing power of these assets

    外匯基金其餘的資產則撥作投資組合,投資于經合組織債券及股票市場,以保障資產的價值及長期購買力。
  20. Unlike the exchange fund which is predominantly invested in oecd bond and equity markets, the investment benchmark of the land fund allocates some exposure to the asian equity markets

    土地基金與外匯基金不同,外匯基金主要投資于經濟合作及發展組織成員國債券及股票市場,而土地基金的投資基準則把部分資產投資于亞洲證市場。
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