liquidity fund 中文意思是什麼

liquidity fund 解釋
清償基金
  • liquidity : n. 1. 液性。2. 流動性,流暢。
  • fund : n 1 資金,基金,專款。2 〈pl 〉 〈the funds〉 (國家的)財源;〈英國〉公債。3 〈pl 〉 存款,現款...
  1. Theories on bond pricing include classical interest rate theory, liquidity preference theory, loanable fund theory and reasonable expectation theory

    摘要債券價格的決定理論主要有古典利率理論、流動偏好理論、可貸資金理論和理性預期理論。
  2. There may be circumstances in which some mopping up of inter - bank liquidity through the exceptional issue of exchange fund paper would be desirable. there may also be circumstances in which negative interest rates could become justifiable, if only for the purpose of underlining the government s determination to maintain the linked exchange rate system

    有些情況可能需要特別增發外匯基金票據及債券,以吸收部分銀行同業流動資金有些情況可能需要實施負利率,例如是為了強調政府維持聯匯制度的信心。
  3. The “ rough beast ” in question could be an end to the global “ liquidity bubble ” that has been fuelling asset prices, allowing private - equity groups to raise record sums and hedge - fund managers and russian plutocrats to buy up contemporary art, mayfair property and luxury yachts

    現在所說的」狂獸」很可能是全球」流動性泡沫」的結束,這些流動性泡沫助長了資產價格的上升,導致私人股份集團的總額升至創紀錄的高度,使對沖基金經理和俄羅斯財閥們能競相買入當代藝術品,梅菲爾區的地產和奢侈的遊艇
  4. When evaluating a fund with a high liquidity requirement, there is an accounting requirement that all the assets must be marked to their market values

    根據新國際會計準則的規定,附有高流動性要求的基金的所有資產必須按市價計值。
  5. As a new financial market tool, investment fund has such characteristics as expert financing, professional operation, risk dispersing, steady income, high liquidity

    作為一種新型的投資工具,投資基金具有專家理財、專業操作、分散風險、收益穩定、流動性強等諸多特點。
  6. Banks can obtain interest - free intraday liquidity through intraday repo using exchange fund bills notes

    銀行可利用外匯基金票據債券作為即日回購協議的抵押品,以獲取免息即日流動資金。
  7. Intraday liquidity provided through highly automated intraday repo facility using exchange fund bills and notes

    銀行可憑外匯基金票據及債券作為抵押,然後透過高度自動化的即日回購協議機制獲取即日流動資金;
  8. During the year, banks made good use of their exchange fund bills and notes to obtain interest - free intraday liquidity through conducting intraday

    在2003年,港元支票聯合結算機制處理支票約253 , 000張,總值223億元。
  9. While no daylight overdraft is allowed, banks can obtain intraday liquidity through intraday repurchase repo with the hkma, using mainly government paper, e. g. exchange fund bills and notes ; and

    銀行不得進行日間透支,但可用政府債券即外匯基金票據及債券作為與金管局訂立即日回購協議的抵押品透過以獲取即日流動資金及
  10. The paper point out that the most important risk is the redeem risk in the management of the open - ended fund, so the fund manager can reply on the management of redeem risk to the liquidity risk. according to the specialty management in the liquidity risk of the open - ended fund, there are three aspects : the first is that the fund holder structure problem ; the second is the restriction of the fund investment object and the problem assets assignment

    然後利用我國開放式基金的數據,通過granger因果關系檢驗得出了股票指數對開放式基金贖回風險有顯著影響的結論;由此構建出開放式基金的贖回資金量函數和流入資金量函數,並且得出相應的留存現金的決策模型和應對贖回風險的策略,並指出基金經理可以通過資產和負債兩個角度來對開放式基金進行流動性風險的管理。
  11. Our strategy since then has been to nurse the exchange rate back over time nearer to 7. 80. this involved, as recorded in the published minutes of the currency board sub - committee of the exchange fund advisory committee, ourselves passively taking in us dollars when these were put to us at the market exchange rate and correspondingly creating hong kong dollar liquidity in the inter - bank system

    金管局當時的對策是逐漸把匯率推回至較接近7 . 80的水平,正如貨幣發行委員會的會議記錄所載,我們的對策就是當銀行以市場匯率向金管局沽出美元時,我們都會被動地接盤,賣出港元,為銀行同業市場創造相應的港元流動資金。
  12. Based on the analysis of commercial banks " current concept about fund management, this paper brings forward that fund management is the main - string in its operation, and that the concept of fund management, including security and profitability, is extended from current " forrying fund " to the management of the fund cost and fund risk the paper comprehensively discusses the principle of fund management, the management of fund costs, the tactics of management about fund liquidity, the measures of management about fund risks and how to solve the problems on interest risk in the period of frequent interest fluctuation. the paper puts forward ideas on how to improve the fund management. the security, liquidity and profitability of the fund, which are both contradictory and integrated with one another, are internal factors of fund management. fund liquidity is traditional core question. commercial banks face with a number of risks of witch credit risk is the greatest one because our country has adjusted interest rates 8 times since 1996, which covered a period of frequent interest fluctuation

    商業銀行面對許多風險,但最大風險是信用風險。由於我國自1996年以來已連續調整了8次利率,近幾年是利率波動頻繁時期,研究利率的敏感性問題顯得特別重要。要改善資金管理,提高商業銀行的經營水平,就要建立資金管理是商業銀行經營主線的理念,對資金要統一規劃和管理;要改革銀行的體制,建立現代企業制度和法人治理結構,在體制上為資金管理提供有利的運行平臺;增加改善資金流動性管理所需的貨幣政策工具,擴大資金調控手段;打破貨幣市場的僵化局面,為資金管理創造有利的宏觀環境;續續優化負債結構和負債載體設計;增強資金信用風險規避和化解的措施;通過銀行資源整合,努力尋找資金的安全投放渠道,最終完成經營模式由傳統型向現代型的轉變。
  13. This was replaced in september 1998 by the discount window arrangement under which banks have unrestricted access to day - end liquidity through repurchase agreements using exchange fund bills and notes as collateral

    一九九八年九月,該機制由貼現窗取代,銀行從此可不受限制通過以外匯基金票據及債券作為抵押品的回購協議,獲取日終流動資金。
  14. Given that the exchange fund paper is in effect fully backed by foreign reserves, the hkma is prepared to allow for greater access by licensed banks to day end liquidity through repos at the discount window using the paper

    由於外匯基金債券票據事實上是得到外匯儲備十足支持的,所以金管局打算讓持牌銀行可以更多利用外匯基金債券票據經貼現窗以回購協議形式取得日終流動資金。
  15. Allowing for freer access to day end liquidity through the use of exchange fund paper which is fully backed by foreign currency reserves will make hong kong s monetary system less susceptible to manipulation and dampen excessive interest rate volatility without departing from the discipline of the currency board arrangement

    由於外匯基金債券票據有外匯儲備提供十足支持,所以讓持牌銀行可以更多利用這些債券票據經貼現窗以回購協議形式取得日終流動資金,可以在沒有偏離貨幣發行局的運作原則下,減低投機者操控市場的能力,以及遏止利率過度波動的情況
  16. The base rate is the interest rate that we charge licensed banks when they come to the discount window operated by us, with exchange fund paper, at the end of the day when they find themselves short of liquidity

    日終結算時,有需要的銀行可憑外匯基金票據及債券作為抵押,向貼現窗借取流動資金以作周轉。換言之,基本利率才是名符其實的本港利率指標。
  17. This is a description of the liquidity trap that doomed long - term capital management, an american hedge fund, almost a decade ago

    這種流動性陷阱的描述冥冥中註定了約十年前名為「長期資本運營」的美國對沖基金最終命運。
  18. In order to preserve the capital and to meet foreign exchange requirements for market intervention purposes, the exchange fund maintains very high liquidity and restricts its investments to a mix of liquid securities of the highest credit quality

    外匯基金為了保障資本以及滿足進行市場干預所需的外匯需求,必須保持極高的流動性,並將投資限制在獲得最高信貸評級而且流通量高的短期證券的范圍內。
  19. To achieve these objectives, the exchange fund is managed as three separate portfolios : a liquidity portfolio to meet needs arising from monetary operations ; a hedge portfolio to ensure that the obligations of the exchange fund will be met fully and an investment portfolio to generate long - term returns

    為達致這三個目標,外匯基金分為三個不同的組合來管理:流動資產組合,以應付貨幣市場操作的需要對沖組合,以確保外匯基金能履行所有合約和責任和投資組合,以爭取最高的長期回報。
  20. This decision was announced by the financial secretary in the 1998 99 budget speech. with effect from 1 april 1998, the fiscal reserves previously placed as hong kong dollar deposits with the exchange fund will be actively managed by the hkma as an integral part of the investment portfolio and liquidity portfolio such that the return on these government reserves will be linked to the performance of the exchange fund

    財政司司長在一九九八九九年度財政預算案中公布了這項決定,由一九九八年四月一日起,過去以港元存款形式存入外匯基金的財政儲備會由金融管理局積極管理,成為投資組合和流動資產組合其中一個重要部分。
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