流動準備金 的英文怎麼說
中文拼音 [liúdòngzhǔnbèijīn]
流動準備金
英文
liquid reserve- 流 : 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...
- 準 : Ⅰ名詞1 (標準) standard; guideline; criterion; norm 2 (目標) aim; target Ⅱ動詞1 (依據; 依照)...
- 備 : Ⅰ動詞1 (具備; 具有) have; be equipped with 2 (準備) prepare; provide with; get ready 3 (防備...
- 金 : Ⅰ名詞1 (金屬) metals 2 (錢) money 3 (古時金屬制的打擊樂器) ancient metal percussion instrum...
- 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
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With regard to the control of liquidity risk, the article proceeds with three mechanisms of control of liquidity risk that are reserve demand, deposit insurance and eventual accommodator
關于流動性風險的防範,首先給出了防範流動性風險的三種機制:準備金要求機制、存款保險機制和最後貸款人機制。In the year under review, the group adopted the new hkfrs below, which are relevant to its operations. hkfrs 3 business combinations hkfrs 5 non - current assets held for sale and discontinued operations hkas 1 presentation of financial statements hkas 2 inventories hkas 7 cash flow statements hkas 8 accounting policies, changes in accounting estimates and errors hkas 10 events after the balance sheet date hkas 12 income taxes hkas 14 segment reporting hkas 16 property, plant and equipment hkas 17 leases hkas 18 revenue hkas 19 employee benefits hkas 21 the effects of changes in foreign exchange rates hkas 23 borrowing costs hkas 24 related party disclosures hkas 27 consolidated and separate financial statements hkas 28 investments in associates hkas 32 financial instruments : disclosures and presentation hkas 33 earnings per share hkas 36 impairment of assets hkas 37 provisions, contingent liabilities and contingent assets hkas 39 financial instruments : recognition and measurement the adoption of the above new hkfrs has the following impact on the group s accounting policies : hkfrs 3 does not have any impact as the new standard does not affect the group
香港財務報告準則第3號業務合併香港財務報告準則第5號持作出售非流動資產及終止經營業務香港會計準則第1號財務報表之呈列香港會計準則第2號存貨香港會計準則第7號現金流量表香港會計準則第8號會計政策會計估計變動及誤差香港會計準則第10號結算日後事項香港會計準則第12號所得稅香港會計準則第14號分類報告香港會計準則第16號物業廠房及設備香港會計準則第17號租賃香港會計準則第18號收入香港會計準則第19號雇員福利香港會計準則第21號匯率變動之影響香港會計準則第23號借貸成本香港會計準則第24號有關連人士披露香港會計準則第27號綜合及獨立財務報表香港會計準則第28號聯營公司投資香港會計準則第32號金融工具:披露及呈列香港會計準則第33號每股盈利香港會計準則第36號資產減值香港會計準則第37號撥備或然負債及或然資產香港會計準則第39號金融工具:確認及計量采納以上新香港財務報告準則對本集團之會計政策造成下列影響: i香港財務報告準則第3號並無造成任何影響,皆因新準則並不影響本集團。Pboc raised the amount that commercial banks must hold in reserves to 12. 5 percent last week, in order to strengthen liquidity management in the banking system and curb the fast rise in loans
為了加強銀行系統流動性資金的管理和控制貸款的快速增強,中國人民銀行上周提高了銀行準備金率達到12 . 5 。Without right information and right planning, delivery becomes time - consuming, the utilization of equipment and labor are limited, the manufacture flexibility of the enterprise is restricted, production cost become higher while the production cycle is getting longer, the pace of product generation is slower, together with the decreasing income, the enterprise ability of managing the change are weaken by the end
從而造成了企業庫存儲備高,物資供應不能保證,流動資金佔用大,交貨期長而不準,設備利用率和工時利用率低下,生產柔性差,生產成本高、周期長,生產效益差,產品更新換代慢,企業整體應變能力差等問題。In accordance with its usual policy on the provision of liquidity support, the hkma stands ready to provide liquidity to iba on commercial terms should the need arise in the future
金管局會根據一貫向銀行提供流動資金的政策,在日後有需要時隨時準備以一般商業條件向港基國際銀行借出流動資金。In the latter part of the year priority was also given to monitoring the market situation in the light of the asian currency turmoil and to reviewing the impact on institutions ? financial condition, including their liquidity, asset quality, and adequacy of provisioning and capital
此外,鑒于下半年發生了亞洲貨幣風暴,金融管理局密切留意市況發展,並評估認可機構財政狀況所受的影響,包括它們的流動資金狀況資產素質以及準備金和資本是否足夠等。India suffered from news that the central bank was raising the cash reserve requirement to soak up liquidity
印度市場傳出消息稱央行正在提高存款準備金要求以吸收流動性,股市受到拖累。Other things being equal, an increase in the deposit reserve requirement ratio, which is measured as a percentage of deposit liabilities and used partly for the supervisory purpose of ensuring that deposit - taking institutions have liquid funds to repay depositors if necessary, has a restraining effect on the ability of deposit - taking institutions to create credit
存款準備金率是以存款負債的百分比來計算,在一定程度上亦可作為一項監管手段,以確保存款類機構有足夠的流動資金以應付存戶提款。假設其他條件不變,上調法定存款準備金率有助抑制存款類金融機構創造信貸的能力。The central bank increased the required reserve ratio twice during the month to absorb excess liquidity
央行在4月份兩次提高存款準備金率以吸收多餘流動性。The current favorable balance of payments contradictory was still prominent, the loan expansion pressure was big, needed to enhance the bank reserve against deposits rate once more according to the fluid dynamic change, by consolidated macroeconomic regulation and control result
當前國際收支順差矛盾仍較突出,貸款擴張壓力較大,需要根據流動性的動態變化再次提高存款準備金率,以鞏固宏觀調控成效。Local banks remained well - capitalized and liquid. the performance of the rest of the banking sector was less satisfactory, partly due to the need for some branches and subsidiaries of foreign banks to make provisions against, or write down the value of, their regional exposure
本地銀行資本及流動資金水平維持充裕,但相對來說,其他銀行的表現卻較遜色,部分原因是一些外資銀行的分行及附屬公司需要為區內借貸提撥準備金或減記賬面價值。During the " microsoft cultural development experience of zijin mountain ", through the entire process ' s exchanges and communication of members and through the rich and interesting development games by our meticulous preparation, in ongoing process of cooperation with the team and competition against other teams, it can nurture and encourage everyone to have the team spirit and sense of teamwork, a better understanding of how to conduct a team, better so that the new members integrated into the club fully, having a better experience of the microsoft club and the cultural, and also made new members and old members have a rare intergovernmental exchanges
在此次「紫金山微軟文化拓展體驗」活動中,通過爬山的整個過程中的會員間的交流與溝通及我們精心準備的豐富有趣的拓展游戲,在不斷開展的團隊合作與隊間競賽的進程下,能夠培養並激發大家的團隊意識與團隊精神,更好的理解如何進行團隊合作,使新會員更好的融入到俱樂部中,體驗到俱樂部及微軟的優秀文化,同時,也使得新會員與老會員間有了一個難得的交流機會。These data are published monthly in the template on international reserves and foreign currency liquidity in accordance with the international monetary funds special data dissemination standard
金管局按照國際貨幣基金組織的公布數據特殊標準制定的國際儲備及外匯流動性數據範本,每月公布這些數據。These data are published monthly in the template on international reserves and foreign currency liquidity in accordance with the international monetary fund s special data dissemination standard
金管局按照國際貨幣基金組織的公布數據特殊標準制定的國際儲備及外匯流動性數據範本,每月公布這些數據。These data are published monthly in the template on international reserves and foreign currency liquidity in accordance with the international monetary fund s special data dissemination standard sdds
金管局按照國際貨幣基金組織的公布數據特殊標準特殊標準制定的國際儲備及外匯流動性數據範本,每月公布這些數據。These data are published monthly in the template on international reserves and foreign currency liquidity in accordance with the international monetary fund s special data dissemination standard ( sdds )
金管局按照國際貨幣基金組織的公布數據特殊標準(特殊標準)制定的國際儲備及外匯流動性數據範本,每月公布這些數據。Computer aid coding system helps enterprises to realize the material auto coding, it is the basis of stock - in - trade control and management system implement. stock - in - trade control and management system can help enterprise managers to control the materials effectively in receiving, sending out, moving, and checking goods, so as to decrease stock - in - trade and capital occupied, avoid overstock, and assure the production and management can be executed successfully. the integration of the stock - in - trade control and management system with finance system realized control and management the capital stream effectively
計算機輔助編碼系統幫助企業實現了物料的自動編碼,為實施存貨控制與管理子系統做好準備;存貨控制與管理子系統幫助企業管理人員對存貨物料的收、發、移動、盤點等操作進行全面的控制和管理,以達到降低存貨、減少資金佔用,避論文摘要一免物料積壓或短缺現象,保證生產經營活動順利進行的目的;存貨控制與管理子系統與財務系統的集成實現了資金流的有效管理與控制;成本核算模塊的開發為快速準確核算企業的成本與利潤提供了可能。The result shows that the general tendency of solvency is declining and the main factors influencing the solvency are capital capacity and profitability, earning asset and its liquidity, adequacy of reserves
中國壽險經營的償付能力總體呈下降趨勢,主要的影響因素是公司的資金實力和盈利能力、資產的可盈利性和流動性、準備金的充足提取The hike of the required reserves by 0. 5 percentage points can help freeze 150 billion yuan worth of floating money, according to bank sources
根據銀行信息,存款準備金率上浮0 。 5有助於凍結價值1500億元的流動資金。The author holds that the central bank should implement mixed monetary policies to cooperate with other macro policies, and in particular, raise the income level of low - income people and increase investment in social security so as to better control liquidity
在此基礎上,探析諸多因素影響下上調存款準備金率的預期效應,繼而認為:央行必須實施多種貨幣政策的組合,配合其他部門的各種宏觀政策,尤其應該提高低收入群體的收入水平,加大對社會保障部門的投入才能更好地控制資金的流動性。分享友人