期貨總額 的英文怎麼說

中文拼音 [huòzǒngé]
期貨總額 英文
future sam
  • : 期名詞[書面語]1. (一周年) a full year; anniversary 2. (一整月) a full month
  • : Ⅰ名詞1. (貨幣; 錢) money 2. (貨物; 商品) goods; commodity 3. (指人, 罵人的話) 4. 動詞[書面語] (出賣) sell
  • : Ⅰ動詞(總括; 匯集) assemble; gather; put together; sum up Ⅱ形容詞1 (全部的; 全面的) general; o...
  • : 名詞1 (額頭) forehead:寬額 a broad forehead2 (牌匾) a horizontal tablet 3 (規定的數目) a sp...
  • 期貨 : [經] futures; forward
  1. Thus, a company having more than one kind of opening stock should add them up and insert the total sum in the box

    因此,公司如有多於一種初存,應將所有數相加,並把填在該欄。
  2. Rmb deposit and loan interest rate float block expands gradually, and progressively move towards marketization day by day. part iii : on the basis of using the experience and lessons of the change of interest rate in other countries for reference in course of the interest rate marketization, it is believed that there should be a course of raising up slightly in the interest rate in the early stage. but the market fluctuations it causes will not be too much ; according to actual operation result and a medium or long term of the reform, foreign currency interest rate has already drawn close to international interest rate competence progressively ; viewed from a short time, rmb loan interest rate total competence will tend towards dropping, some loan interest rate may rise ; the interest rate of the deposit will raise up unilaterally

    體而言,發展中國家的存貸利差要高於發達國家;第二部分:在結前幾年利率改革包括市場化改革的基礎上,認為,迄今為止,我國利率市場化改革的程度體上還比較低:同業拆借利率、幣市場債券回購利率、現券交易利率、外幣貸款利率、大外幣存款利率等已完全市場化或基本市場化,人民幣存貸款利率的浮動區間已逐漸擴大,並已漸進的方式日益走向市場化;第三部分:在借鑒境外利率市場化過程中利率變動的經驗教訓的基礎上,認為在我國利率市場化的初,利率應該有一小幅上揚的過程,但是其造成的市場波動應該不會太大;從改革的實際運作結果和中長來看,外幣利率已經逐步的向國際利率水平靠攏;從短來看,人民幣貸款利率水平將趨于下降,部分貸款利率有可能上升,存款利率將會單邊上揚。
  3. Who wishes to pay you money

    這些定賬單必須用來支付
  4. In 2005, the value of chinese foreign trade archived to 1. 42 trillion dollars. the amounts are 2 times than that of 2000. since 1994, china has changed the foreign exchange policy to the floating foreign exchange

    2005年,我國物進出口貿易連續四年高速增長,進出口達到1 . 42萬億美元,比「九五」末的2000年增長了2倍, 2006年一季度中國進出口貿易更是達3713億美元。
  5. The aggregate amount of the initial margins required for futures contracts, initial margins required for put option contracts, and premiums required for call option contracts for the open positions for all delivery months held by the sub - account plus the investment by the account in money market instruments shall not be more than 30 percent of the balance of funds remitted into the sub - account

    每一分戶持有各交割月份未平倉部位之契約所需原始保證金、賣出選擇權契約所需原始保證金與買入選擇權契約所需權利金,併入其投資幣市場工具等之,不得超過其匯入資金餘之百分之三十。
  6. Generally, the letter of credit specifies the beneficiary ' s name, description of good, quantity, unit price, total amount, ports of loading and destination, price terms, payment terms, shipping validity, negotiation validity, etc

    一般信用證中規定了受益人的姓名、描、數量、單價、、起運港、目的港、價格術語、付款方式、裝運限、議付限等。
  7. The bonus rate on the time deposit will only apply to a deposit amount which is equivalent to or lower than the amount invested in mutual fund. each customer can enjoy this promotion offer subject to a cap of hk 3, 000, 000 or its equivalent in other currencies in aggregate of mutual fund subscriptions during the promotional period

    外定存款利率優惠只適用於存款不高於基金認購之定存款,而每位客戶于推廣內可享該優惠之基金認購及定存款上限為hk 3 , 000 , 000或等值之幣。
  8. The centre proposed that growth in broad m2 money supply should be limited to 16 percent, with new loans totalling 3 trillion yuan 381 billion and particularly strict controls on medium - and long - term lending

    國家信息中心提出, 2007年我國廣義幣供給的增幅應控制在16 ,新貸款不應超過3萬億,尤其要嚴格控制中長貸款。英語新聞學習http : news . jewelove . net
  9. After 1989, the increase of demand slowed down and facing the complexion of low degree of industrial concentration of product market and financial strain of medi um and small - sized enterprises caused by the circulating trap of " credit squeeze - - - bad loan ", the advantageous enterprises " " wallow in money ", specifically, those listed companies that could finance from the stock market, began to take predatory pricing strategy in succession and tried to enlarge market share and obtain high return by squeezing medium and small - sized enterprises out of the market after 1998, the vicious circle of deflation and " credit grudging " of banks in product and credit markets, overcapacity, the difficulty of retreating of loss - incurring enterprises in some industries from the market for institutional reasons and over - competition in some industries, led to the incessant decrease of enterprises " global income, persistent increase of rate of debts and constant rise of ratio of bad assets of banks, which further intensified the vicious circle of deflation and " credit grudging " of banks

    如在改革開放初,在產品市場需求旺盛和信貸市場預算軟約束的情況下,各類企業的最優決策就是採用高負債、高擴張的「負債的有限責任效應」策略來搶占市場並獲得高回報; 1989年以後,需求增速開始放緩,面臨產品市場產業集中度較低和信貸市場「信貸緊縮-不良貸款」循環陷阱導致的中小企業資金緊張的局面, 「錢袋鼓鼓」的優勢企業(尤其是那些可以通過股票市場融通資金的上市公司)紛紛採用掠奪性定價策略,試圖通過把中小企業擠出市場來擴大市場份並獲得高收益; 1998年以後,產品市場和信貸市場形成了通緊縮和銀行「惜貸」惡性循環的狀況。產品市場上部分行業生產能力嚴重過剩,且由於體制等原因導致虧損企業無法退出,因此這些行業中出現了過度競爭的現象,企業體收益的不斷下滑、負債率不斷提高以及銀行不良資產率的持續上升,又進一步加強了通緊縮和銀行「惜貸」的惡性循環。
  10. Latest customs statistics show ports in guangdong imported in august us $ 26. 33 million worth of goods from asean member countries, involving tax holidays valued at us $ 19. 36 million, or 41. 72 percent and 44. 74 percent, respectively, of china ' s total

    最新的海關統計數字表明,廣東省港口八月份從東盟成員國進口的為兩千六百三十三萬美元,其中免稅進口為一千九百三十六萬美元,二者分別佔中國同的百分之四十一點七二和百分之四十四點七四。
  11. Refers to the fixed assets acquired minus those disposed and the change in inventory, including the total fixed assets formation and the increase in inventory

    指常住單位在一定時內獲得的減去處置的固定資產加存的變動,包括固定資本形成和存增加。
  12. The total advance payment, the number and timing of installments ( if more than one ), and the applicable currencies and proportions, shall be as stated in the appendix to tender

    預付款,分預付的次數與時間(一次以上時) ,以及適用的幣與比例應符合投標函附錄中的規定。
  13. The first section is the base of the whole thesis, including the conception of irr management, its procedure, and history. what " s more, it classifies irr and sum principles of its management ; the three kind techniques of irr management are the thread of the second section. it expounds different kinds of techniques, such as gap model, duration model, fras, future and option ; with the gap model and duration model, the third section use the balance sheet of our commercial banks to reveal the irr conditions of them ; on the basis of experiences of leading banks in the world, the paper puts forward several suggestions in the last section

    第1部分介紹了商業銀行利率風險管理的概念、過程,及其演進歷史,同時對利率風險進行了分類,結了商業銀行利率風險管理的原則;文章的第2部分將現有的利率風險管理技術進行了歸類,以利率風險表內管理技術,表外管理技術和綜合管理技術為主線,分別介紹了早的差管理,搭配記賬管理,以及現在十分流行的缺口管理和持久管理,同時對遠利率,利率等表外技術,及證券化等綜合管理技術作了簡單的介紹。
  14. You shall be paid for so long as the shipping guarantee ( s ) is in force, and until it is returned to you a commission at such rate as separately agreed to between you and us on the amount of each such shipping guarantee, such commission to be payable six - monthly in advance on the date of issue of the shipping guarantee and at intervals of six months following such date

    自擔保提保證書簽署日起至該保證書返還貴行之日止之間,本公司應向貴行支付保證費,保證費應就各該保證書之依本公司與貴行約定之利率計算,以每六個月為一,于每初支付之。
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