流動性資產 的英文怎麼說

中文拼音 [liúdòngxìngchǎn]
流動性資產 英文
current assets
  • : Ⅰ動1 (液體移動; 流動) flow 2 (移動不定) drift; move; wander 3 (流傳; 傳播) spread 4 (向壞...
  • : Ⅰ名詞1 (性格) nature; character; disposition 2 (性能; 性質) property; quality 3 (性別) sex ...
  • : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
  • : Ⅰ動詞1 (人或動物的幼體從母體中分離出來) give birth to; be delivered of; breed 2 (創造財富; 生...
  • 流動性 : flowability; fluxility; fluidity; mobility; liquidity; flow property流動性不足 liquidity shortage...
  • 流動 : 1. (液體或氣體移動) flow; run; circulate 2. (經常變換位置) going from place to place; on the move; mobile
  • 資產 : 1. (財產) property; means 2. (資金) capital fund; capital3. [經] (資金的運用情況) assets
  1. Furthermore, niche strategies tend to invest in illiquid assets, such as exotic options

    而且,利基市場策略傾向于投于如奇異期權類的非流動性資產
  2. But when bad news hits stockmarkets, illiquid assets can be hit extremely hard

    但是,當糟糕的消息沖擊整個市場的時候,非流動性資產所收的打擊卻是致命的。
  3. Chinese citizens ' only real investment choices are property, which is illiquid, and the stock market

    中國居民僅有的現實投選擇,一是很差的房地,二是股市。
  4. Or, to put it another way, they have borrowed in liquid form and invested the proceeds in illiquid assets

    或者,換一種方式,借入流動性資產,將得到的金投入到非中。
  5. The group s financial position remains strong with highly liquid assets

    集團的財政狀況保持強勁,維持高度
  6. On monetary liquidity effect on asset prices

    貨幣影響價格的理論探討
  7. And the explicit factor is management risk 、 expectant cash inflood quantity 、 capital fluidity 、 money market 、 decision - making misplay 、 credit risk 、 government behavior etc. macroscopical factor

    經營風險、預期現金的入量和、金融市場、決策失誤、信用風險、政府行為等宏觀因素是負債籌風險的外在因素。
  8. 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」泡沫」的結束,這些泡沫助長了價格的上升,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,梅菲爾區的地和奢侈的遊艇
  9. In the umpty bond characteristic, the mobility is the core. because capital is a lack of the mobility, its value will be badly underestimate, indeed will is zero

    因為在債券的若干特中,是其核心所在? ?缺乏或沒有,其價值會被嚴重低估,甚至為零(即無人願意持有) 。
  10. The commercial bank is facing the very high liquidity risk on the capital, liability, asset and the adaptive ability of environment change

    國有商業銀行在本金、負債、、以及對宏觀環境變化的應變能力方面都面臨者很大的風險。
  11. The essence is that through setting up new system and adopting new method or new tools, the liquidity, profitability and security of financial assets will be integrated in high degree, thus financial efficiency will be improved

    其本質就是:通過建立新的體制,採用新的方法,推出新的工具,使金融、盈利和安全達到高度統一,從而提高金融效率。
  12. The template on international reserves and foreign currency liquidity provides a comprehensive account of the imf participants foreign currency assets and drains on such resources arising from various foreign currency liabilities and commitments

    國際儲備及外匯數據範本全面反映該組織成員的外幣及因外幣債務與承擔引致該等失的情況。
  13. The template on international reserves and foreign currency liquidity provides a comprehensive account of the imf participant s foreign currency assets and drains on such resources arising from various foreign currency liabilities and commitments

    國際儲備及外匯數據範本是全面反映基金組織成員的外幣及因外幣負債與承擔引致該等失的情況。
  14. The deposit insurance system ( dis ) is a system that after the qualified deposit financial institutions pay insurance premium to the special deposit insurance corporation ( dic ) according to a fixed proportion, dig must offer the liquidity aids to the financial institutions or take the place of the failure institutions to pay the depositors back within a fixed limit when the payment crises occur or they fail

    存款保險制度是指符合條件的存款金融機構,按照一定比例向專門的存款保險機構繳納保險費,當這些金融機構出現支付危機或破清盤時,存款保險機構向其提供助或代替破機構在一定限度內對存款人給予賠償的制度。
  15. Most of the time this strategy works, because illiquid assets offer a premium return to compensate for the higher risk

    絕大部分時間中,該策略是奏效的,由於低流動性資產會提供額外回報以補償其較高的風險。
  16. These are specialist funds, kept separate from their parent company ' s balance sheet, that invest in illiquid assets, such as securities backed by subprime mortgages

    這種特別基金的負債表與母公司相分離,投于低流動性資產,諸如次級抵押擔保債券。
  17. And because the companies ' subprime debt wasn ' t liquid and no one wanted it, the businesses had to begin selling liquid assets that ? institutions ? did want ? to buy

    同時,由於這些公司所持有的次級債不足,市場上無人願意接手,這些公司不得不轉向出售那些市場願意購買的高流動性資產
  18. The requirements of the basel agreement are designed to encourage bank to strengthen their capital position and consider the risk of the off - balance - sheet commitments. asset - liability management is integrated of self - discipline and financial supervision. the purpose of asset - liability management is to formulate strategies and take actions that shape a bank ' s balance sheet as a whole in a way that contributes to its desired goals

    負債比例管理是一種自律管理與外部監管有機結合的管理方式,其實質是在銀行長期戰略計劃指導下,在短期金融計劃和決策中協調好金來源和金運用的內在聯系,實現、安全、盈利的均衡,是流動性資產、債券貸款、負債和本相結合的綜合管理。
  19. It mostly refers to the low efficient condition that is all productions include non - current assets and non - practicality assets improper allocation so as to decrease the efficiency of disposition

    擁擠是指所有生要素,包括非流動性資產或非實物生要素配置不當所形成處置能力降低的一種極端低效現象。
  20. The third chapter is about the demonstration of the liquidity risk of open funds. this chapter uses the var model and l - var model to measure the liquidity risks of several open funds of our country and then compares the liquidity risk of those open funds

    在我國,證券市場的系統風險較大而又無相應的對沖工具,投者長期投的理念還沒樹立,高金來源與低流動性資產相匹配而引發的負債結構不對稱是中國開放式基金普遍存在的問題。
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