security investment 中文意思是什麼

security investment 解釋
證券投資
  • security : n 1 安全(感);安穩;穩妥;平安。2 確實;確信;把握;可靠性;安心。3 【軍事】防禦物。4 保護;防...
  • 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。
  1. Period theory and its applicative analysis in the security investment

    債券投資中的期度理論及其應用分析
  2. A unilateral emphasis on the impact of the security investment fund on the security market is ex parte. therefore, our government should fully recognize the dualism of the security investment fund so as to promote its advantages and avoid its adverse impacts

    因此,在全面認識證券投資基金對對證券市場穩定性發面的雙重效應后,我國政府在促進證券投資基金業發展的過程中,應充分認識到基金對市場的雙重性,以期實現證券投資基金業的有序的發展和有效的監管,發揮其積極的作用,控制其不利的影響。
  3. The security market of china have got great development in the past 15 years, it have gradually grown into maturation from infantilism. the growth of security market makes the security investment funds a better circumstance to develop

    一、選題背景及意義我國證券投資基金從成立的第一天起,就以「專家理財、組合投資、分散風險、穩定市場」的形象出現在證券市場,吸引著投資者的目光。
  4. And we come to the following conclusions : ( 1 ) looked from the returns ratio target that, all funds achievement are better than the market datum combination ’ s in the sample time, but the funds overall achievement is inferior to interest rate ; ( 2 ) after the modification of the risk factor, our mutual funds outguess the market ; ( 3 ) there is not enough evidence that indicate that chinese security investment funds have choosing ability in the market opportunity and choosing ability in the security. ( 4 ) the achievement in the past of the fund can not represent market manifestation in the future of the fund. this article innovation mainly has following several aspects : ( 1 ) have established the overall target of a appraisal fund achievement and gone on the real example to analyze with the mathematics model, having solved the inconsistency problem of appraising the result of many kinds of

    在此背景下,本文希望通過借鑒國外對基金業績評價方面的經驗,結合我國的國情嘗試盡可能真實的、多角度分析我國證券投資基金在不同市場時期的業績特點,如投資基金的回報及其承擔的風險,基金經理的擇時能力和選股能力究竟怎樣,基金業績是否具有持續性等等,為基金投資者、監管者、基金管理公司以及基金的發展提供一些參考,以引導社會資源更多地流向擁有理性投資理念、資產管理能力出色的基金管理公司,實現資源的優化配置,進而推動市場投資理念走向成熟。
  5. In the sixties of the 20th century, while it analyzed the relationship between the security risk and the return, the capital asset pricing model ( capm ), on the basis of security investment portfolio theory, put forward the pricing method of the security. the theory has succeeded in enduring the econometrical tests for more than ten years

    20世紀60年代,資本資產定價模型( capm )以markowitz的證券投資組合理論為基礎,在分析證券風險、收益關系的同時,提出了證券的定價方法,這一理論成功地經受了十多年的經濟計量檢驗。
  6. The more than 30 analysts make our company have strong advantage of competition. we offer accurate, timely and professional consulting services about security investment, which make more and more investors get steady returns. what ' s more, we have long term cooperation with many tvstation, professional magasines, such as guangdong tv, economic channel of guangzhou tv station, public channel of guangdong tvstation, news channel of guangdong tvstation, news channel of guangdong tv, ? tv3 of zhejiang economic tv, heshan broadcasting station, finance and economic 927 broadcasting station, dongguan broadcasting station, ningbo broadcasting station and so on, sharing our research results with investors

    公司與廣東衛視、廣州電視臺經濟頻道、廣東電視臺公共頻道、廣東電視新聞頻道、甘蘇衛視、湖南衛視、浙江經視tv3 、鶴山電臺、財經927電臺、東莞電臺、寧波電臺等十幾家電視、電臺及多家專業、權威的報刊、雜志均有長期邀約合作欄目,同廣大投資者分享研究成果。
  7. Chapter 4 : the experimental research on the related quality between financial statement analysis and security investment

    第四章,財務報表分析與證券投資相關性的實證研究。
  8. Open end fund is the security - investment fund that the total sum is not stationary but can be issued new sum according to the supply - need of the market and investors may redeem the fund unit at any time they like

    開放式基金是指基金發行總額不固定、可以根據市場供求情況隨時發行新份額;投資者可隨時贖回基金單位的證券投資基金。
  9. Security investment is an old and new thing, was researched deeply in west countries

    證券投資作為一門古老而嶄新的課題,在發達的西方國家進行了深入細致的研究。
  10. Main - stream finance theory analyzes the behaviors of the security investment based on the hypothesis that investors are rational

    我國證券市場的產生與發展是我國經濟體制改革所取得的極具深遠意義的成就之一。
  11. Chapter 3 : security investment analysis

    第三章,證券投資分析。
  12. It finally describes the current state of security investment analysis in our country in order to illustrate the importance of the basic analysis for financial statement of the company

    最後對我國目前證券投資分析的現狀進行描述。以此說明對基礎面的分析特別是對公司財務報表這一層次基礎面分析的重要性。
  13. The chapter focuses on two basic analytic tools in security investment analysis : basic analysis means and technical analysis means. it describes their theory grounds, character, scope and content

    該章主要論述證券投資分析兩種基本方法:基本分析方法和技術分析方法,並對兩種分析方法的理論依據、特點、適用范圍、內容進行描述,重點對基本分析方法中的公司分析特別是財務報表分析方法進行論述。
  14. This paper discussed the actuality of our stock market, risk and measures from the problems of inside and outside of the research in nation particularly. it comments and analysis several famous and popular investment theories, at the same time, it points their shortage. it discussed every investment implement particularly, on this base analyses the security investment, recited every investment method and erected right investment ideas

    本論文從國內外同類研究存在的問題出發,詳細論述了我國股市的現狀、存在的風險及其防範對策,並且詳細闡述了各種投資工具,在此基礎上進行了證券投資分析,評析了當今流行的著名的各種投資理論,指出了他們存在的片面性。
  15. China securities regulatory commission published " security investment fund management temporary methods ", which brings forth clearly : " " promoting the healthy and stable development of stock market is the main purpose of developing security investment fund

    國家證監委1997年11月出臺了《證券投資基金管理暫行辦法》 ,其中明確指出「促進證券市場的健康、穩定發展」是發展證券投資基金的主要宗旨。
  16. Based on these, the author studies the relationship between return and risk of portfolio, respectively taking a - shares traded in shanghai security exchange and security investment funds as analysis object

    在此基礎上,作者分別以上海股票市場的a股股票和證券投資基金為研究對象,研究了資產組合的收益-風險關系。
  17. It ' s a comprehensive and complicated system engineering to research into the security investment fund risk and its management, where my experience and accomplishment in this respect is only a minor attempt and there is still a long way to go

    對證券投資基金風險及其管理問題的研究是一項龐大而復雜的系統工程,本人在這方面的研究可謂淺嘗之舉、蜻蜒點水。
  18. Analysis and evaluation of the theories and methods in evaluating the risks of security investment

    證券投資風險計量理論與方法的評析
  19. The strategy of diversified investment is a efficient measure to control the risk of security investment

    分散化投資策略是控制證券投資風險的有效手段。
  20. The performance of security investment funds has been a hotspot in the area of investment and financial theoretical research.

    基金業績是否跑贏大盤的實證檢驗一直以來都是國內外投資實踐和金融理論研究領域的熱點問題。
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