securities lending 中文意思是什麼

securities lending 解釋
證券借貸
  • securities : 期貨
  • lending : n. 1. 借給,貸與。2. 借出物,貸出物;租借物;附屬物;〈pl. 〉借來的衣服。adj. 貸出的。
  1. Article 19 the delivery and redelivery of the underlying securities and collateral securities in a securities lending transaction shall be made either by book - entry transfer or by title transfer registration

    第19條有價證券借貸交易標的證券及擔保品證券之交付及返還,應采帳簿劃撥或轉讓登記方式辦理。
  2. Securities lending allows temporarily illiquid securities to be loaned to investors

    債券借貸將本來暫時不流動的債券出借給需要債券的投資者。
  3. Subject matter of securities lending and outstanding balance

    一、借券交易事項及餘額。
  4. The securities firm shall approve a line of credit to a customer based on the result of a credit check against such customer, and furnish a risk disclosure statement disclosing therein the risks associated with securities lending transactions

    證券商應依客戶徵信結果,核定其客戶得借貸額度,並提供風險預告書,揭露有價證券借貸交易之可能風險。
  5. Article 15 for the purposes of this chapter, the term " underlying assets " of securities lending transactions refers to those securities eligible for margin purchases and short sales, and such other securities as may be approved by the competent authority

    第15條本章所稱有價證券借貸交易標的,系指得為融資融券交易之有價證券或其他經主管機關核準之有價證券。
  6. Article 21 a securities firm shall on a daily basis transmit information about the transaction amount, transaction details, and outstanding balance with respect to securities lending transactions for each customer, to the securities exchange or the over - the - counter securities market, and the latter shall compile such information and publish the outstanding amount of all securities lending transactions before the opening of market on the next business day

    第21條證券商應每日將其客戶借貸額度、借貸之交易明細與餘額等資料傳送證券交易所及證券櫃臺買賣中心,由證券交易所及證券櫃臺買賣中心匯計,于次一營業日開市前公告有價證券借貸交易餘額。
  7. Article 16 a securities firm conducting securities lending business shall enter into a securities lending agreement with each customer, and shall open one and only one securities lending account for each customer

    第16條證券商辦理有價證券借貸業務,應與客戶簽訂有價證券借貸契約,並開立有價證券借貸交易帳戶,每一客戶以開立一戶為限。
  8. Signs the agreement of securities lending and borrowing programme

    簽署證券借貸計劃協議
  9. The feature article securities lending programme sets out the objectives and the operational framework of the programme which will commence operation on 1 december 1997

    債務證券借貸計劃一文列載計劃的目的和操作架構,該計劃將於一九九七年十二月一日開始運作。
  10. Bonds borrowed through the securities lending system of an over - the - counter securities market

    二、自證券櫃臺買賣中心借券系統借入者。
  11. As collateral to borrow securities through the securities lending system of an over - the - counter securities market

    一、作為向證券櫃臺買賣中心借券系統借券之擔保。
  12. System design on introducing securities lending in china market

    我國債券市場引入融券機制的制度設計
  13. Hkma introduces securities lending programme and linkage with the securities depositories in australia

    金管局推出證券借貸計劃並與澳洲證券託管系統建立聯系
  14. Press release : hkma introduces securities lending programme and linkage with the securities depositories in australia

    新聞稿:金管局推出證券借貸計劃並與澳洲證券託管系統建立聯系
  15. Foreign liabilities include obligations under repurchase agreements, securities lending with cash collateral arrangements and fees payable to the exchange fund s external managers

    對外負債包括在回購協議下的承擔、現金抵押的證券借貸安排,以及須支付予外匯基金外聘基金經理的費用。
  16. 5 foreign liabilities include obligations under repurchase agreements, securities lending with cash collateral arrangements and fees payable to the exchange funds external managers

    對外負債包括在回購協議下的承擔現金抵押的證券借貸安排,以及須支付予外匯基金外聘基金經理的費用。
  17. 5 foreign liabilities include obligations under repurchase agreements, securities lending with cash collateral arrangements and fees payable to the exchange fund s external managers

    對外債務包括在回購協議下的承擔現金抵押的證券借貸安排,以及須支付予外匯基金外聘基金經理的費用。
  18. Pan asian securities lending association

    亞洲證券借貸協會
  19. Securities lending programme

    債務證券借貸計劃
  20. Placements with banks and other financial institutions, certificates of deposit, consideration received or paid under repurchase and resale agreements, securities lending agreements, placements by banks and other financial institutions, placements by other hksar government funds for which interest is payable at market - based rates and placements by hong kong statutory bodies are valued according to a price matrix of discounted cash flows using applicable interest rates for discounting

    在銀行及其他金融機構的存款、存款證、根據回購及再出售協議收取或支付的代價、證券借貸協議、銀行及其他金融機構的存款、按?場利率計算利息的其他香港特區政府基金存款及香港法定組織的存款均按照貼現現金流量的價格矩陣估值,並按適用利率進行貼現。
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