loan portfolio 中文意思是什麼

loan portfolio 解釋
貸款投資組合
  • loan : n 1 出借,借出,貸。2 借出物;資金;公債,貸款。3 外來語(= loanword);外來風俗習慣。vt vi 〈美...
  • portfolio : n. (pl. portfolios)1. 紙夾;文件夾;公事包。2. 部長[大臣]的職位。3. 〈美國〉有價證券一覽表[明細表];(保險)業務量[業務責任]。4. (藝術家等的)代表作選輯。
  1. Chapter 1 firstly comments on gurley & shaw " s " endogenous money - exogenous money " model, tobin ' s theory of endogenous money supply and post - keynesian " mixed portfolio - - - - loan demand approach " model, then brings forward a model of forming mechanism of china ' s endogenous money supply

    第一章首先綜述了格利和肖的「內生貨幣? ?外生貨幣」模型、托賓的內生貨幣供給理論以及后凱恩斯主義的「組合資產? ?貸款需求」模型,然後建立了適合我國現實的內生貨幣供給形成機制模型。
  2. Starting at retail of bonds, funds, deposit certificates and shares, more selling products will be sought from fund houses. innovative products, which are in line with the market demand and under risk control, should be pushed forward. by virtue of new product exploitation, banks can avert risks, adjust loan portfolio and increase income

    開拓非利息收入業務,如積極銷售債券、基金、存款證及股票等,進一步推出以市場化為取向的基金公司和基金產品,鼓勵創新,凡是適應市場需求的品種,在有效控制風險的基礎上,都應該積極推進。
  3. Firstly, this thesis starts with credit risk management of commercial banks, describes the necessary of applying loans " portfolio to reduce loan risk, and builds up a decision - making model of loans " portfolio optimization based on principle of maximum earning and minimum risk

    論文首先從商業銀行信貸風險管理的現狀入手,闡明了採用貸款組合減少信貸風險的必要性,對基於單位風險收益最大化原則的銀行貸款組合優化決策模型進行了深入的理論分析,提出了建模的原則和假設,並給出了基於風險效益綜合評價的貸款風險組合優化模型。
  4. Decision - making model of loan portfolio optimization based on comprehensive risk restriction

    基於綜合風險約束的貸款組合優化決策模型
  5. Housing loan portfolio for secondary materials needed what

    申請二手房組合貸款需要提供哪些材料?
  6. Taking into account repayments and run - off due to competitive refinancing in the mortgage market, the outstanding principal balance of the loan portfolio was hk 32. 4 billion as at 31 december 2006 2005 : hk 33. 5 billion

    日,在扣除按揭還款和轉按所流失的貸款后,貸款組合的未償還本金餘額
  7. Decision - making model for optimization of loan ' s portfolio based on efficient boundary

    基於有效邊界的貸款組合優化決策模型
  8. Decision - making model of loan ' s portfolio optimization based on the yield of var

    收益率約束的貸款組合優化決策模型
  9. Decision - making approach to loan portfolio based on monte carlo simulation

    基於蒙特卡洛模擬的貸款組合優化決策方法
  10. Its results included two - month profit contribution from the belgian bank. while merger synergies is still latent, the acquisition of belgian bank significantly diversified icbc ( asia ) s loan portfolio and revenue soucres

    雖然合併的協同效益仍未具體反映,但收購華比銀行令中國工商銀行(亞洲)貸款組合和收入渠道更為多元化。
  11. Its results included two - month profit contribution from the belgian bank. while merger synergies are still latent, the acquisition of belgian bank significantly diversified icbc ( asia ) s loan portfolio and revenue sources

    雖然合併的協同效益仍未具體反映,但收購華比銀行令中國工商銀行(亞洲)貸款組合和收入渠道更為多元化。
  12. This paper is aimed at two central problems which exist in the credit risk management of the portfolio : first, if the loan defaults, how much loss there will be ; second, how much reserve that the bank must prepare for the loss caused by risk, and do a deeply research on the related question and have a calculation in detail

    本文針對商業銀行貸款組合信用風險管理中存在的兩個基本問題:一、如果貸款發生違約時,具體損失有多少;二、銀行要準備多少資本金才能應付風險造成的損失,就相關內容做了詳細的數值計算和深入探討。
  13. For a mortgage loan of hk 1. 5 million which is the average size of mortgages in the hkmc s portfolio with a repayment period of 20 years, the insurance premiums under the single payment and annual payment methods are as follows

    以一筆萬港元貸款年期年的按揭貸款此為按揭證券公司所持按揭的平均貸款額為例,一次付清及每年支付的保險費收費如下:
  14. For a mortgage loan of 1. 5 million which is the average size of mortgages in hkmc s portfolio with a repayment period of 20 years, the details of the insurance premiums under the single payment and annual payment methods are shown in

    以一筆貸款額萬元此為按揭證券公司按揭貸款組合的平均貸款額及還款期年的按揭貸款為例,一次付清及每年支付保險費的詳情,可參閱
  15. " the decline in the loan delinquency ratio for the third consecutive month provides further indication that the quality of the mortgage portfolio is improving, " said mr. david carse, acting chief executive of the hkma

    金管局署理總裁簡達恆表示:按揭貸款拖欠比率連續第三個月下降,進一步顯示按揭貸款組合質素正在好轉。
  16. " the decline in the loan delinquency ratio for the second successive month provides further indication that the quality of the mortgage portfolio has stabilised and may be improving, " said mr. david carse, deputy chief executive of the hkma

    金管局副總裁簡達恆表示:按揭貸款拖欠比率連續第二個月下降,進一步顯示按揭貸款組合質素已回復穩定,並可能會好轉。
  17. A market risk - based model of decision - making of loan portfolio optimization

    一種市場風險條件的貸款組合優化決策模型
  18. As long as the loan portfolio contracts, banks cannot rely merely on interest income

    在銀行的資產負債表收縮情況下,銀行已不可單單依賴利息收入。
  19. During 2002 the hkma continued to monitor closely the quality of ais taxi loan portfolio

    的士貸款在2002年,金管局繼續密切注視認可機構的士貸款業務的質素。
  20. Japan and south korea are the successful countries in using foreign indirect investments. they have actively took use of international loan and international portfolio investment, thus they could take hold of their nation ' s economic authority and made their economy prosperous ; however the latin american countries were on the way to the twisted reform because of the heavy foreign loan

    日本和韓國是利用國際間接投資成功的例子,他們積極利用國際信貸和國際證券投資,掌握本國經濟的自主權,從而使經濟走向騰飛之路;而拉美國家卻因沉重的外債負擔而走向了曲折的改革之路。
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