累積的投資 的英文怎麼說

中文拼音 [lěidetóu]
累積的投資 英文
cumulative investment
  • : 累Ⅰ形容詞(疲勞) tired; fatigued; weary Ⅱ動詞1. (使疲勞; 使勞累) tire out; wear out 2. (操勞) work hard; toil
  • : Ⅰ動詞(積累) amass; store up; accumulate Ⅱ形容詞(長時間積累下來的) long standing; long pending...
  • : 4次方是 The fourth power of 2 is direction
  • : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
  • 累積 : accumulate累積服刑 [法] accumulative sentence; 累積股本 cumulative capital stock; 累積股息 cumula...
  1. At the same time, economic crisis, financial deficit and other factors such as burden of debts reduced greatly the governments " ability to invest and borrow money, private sources funds again were sought to cover up the capital shortage. on the other hand, some international consortia were looking for ways to invest for the purpose of maximum of profit. hence some international contracting companies and experienced developing countries began their trial to promote private ownership and operation of infrastucture projects, through the way of accession agreement with limited recourse

    然而進入80年代,現有基礎設施已不能滿足經濟發展和人們生活需要,而經濟危機、財政赤字、沉重債務負擔等因素使政府能力和對外借債能力大為減弱,只能轉而尋求私營部門本來彌補不足;同時國際上一些大財團因,急於加快本周轉和增值,追求利潤最大化,一些國際承包公司和有經驗發展中國家開始探索通過有限追索權貸款以特許方式促進私人擁有和經營基礎設施項目。
  2. This passage, by summing up the problems and analyzing the causes to the present problems, tries to find better ways to deal with the problems in the process of commercial bank operation by icbc, jilin branch. this passage starts with the basic theories of investment bank, the chapter 1 discusses the relationship between investment bank and commercial bank, unit 1 introduces the concept, the economic function, the developing model of international and domestic investment bank ; unit 2 describes combination, separate operation and recombination process between commercial bank and investment bank, and analyzes the differences by graphs ; unit 3 introduces the mix - operation tendency of commercial bank and investment bank, the dominant mode of big international bank is to carry out the mix - operation according to the investment bank ’ development history of the

    並在此基礎上,本文提出了解決問題對策,主要體現在以下七個方面:一,更新觀念,建立一套符合市場需求創新機制;二,加大入,組建高素質銀行專業人才隊伍;三,循序漸進,分步構築銀行業務組織體系;四,突出組織效率,建立與銀行業務相適應決策管理機制;五,勇於創新,努力探索各類符合市場需求銀行業務品種;六,強化營銷,細致深人地做好銀行業務營銷工作;七,加強合作,逐步銀行業務運作經驗。
  3. Fixed capital investment by the business sector is likely to slow down - following the strong rebound in 2000 - while inventory build - up should also moderate

    私營機構固定在2000年強勁反彈后, 2001年增長應會減慢,存貨速度亦會放緩。
  4. Expressing the character of resume, amend and risk accumulated of householder ' s responsibility system ( hrs ), based on our country investment agriculture ' s character of specific idiosyncratic, long return term and real option, found on the two sides of investment agriculture income and risk, making a system research for our country agriculture investment, bring forward a proposition of carrying out the permanent tenancy of agricultural land

    摘要針對我國現行家庭聯產承包責任制所具有恢復性、改良性和風險性制度缺陷,根據農業專用性、長回收期和實物期權特徵,本文從農業收益、風險兩個方面,對我國農業進行了制度研究,提出了推行農業用地永佃制構想和建議。
  5. Owner ' s equity include owner “ s investment in a busine and accumulated operating results since the begi ing of the operation

    業主權益包括業主以及企業自開業以來經營成果。
  6. Owner ' s equity include owner “ s investment in a business and accumulated operating results since the beginning of the operation

    業主權益包括業主以及企業自開業以來經營成果。
  7. Meanwhile, as the state - owned sector can finance more funds from the banks, causing the over - stock of capital in the state - owned sector, the efficiency of capital in the state - owned sector decreases continually, and the capital - output ratio increases accordingly

    同時,由於國有經濟部門能通過銀行獲得更多源,導致了國有經濟部門本過度,國有經濟部門本效率不斷降低,本產出比不斷上升。
  8. With the social and economic development and changing, china ' s joining the wto in particular, the environment in which the insurance operating changes greatly. the fluctuation of interest rate, rise of loss ratio, development of capital market and competence of international insurance magnate, all of these make insurance investment necessary and important to china ' s insurance company. in facing the competition, insurance companies now attach a great importance to insurance investment strategy

    我國保險業經過近20年發展取得了長足進步,保險公司了大量可以運用金,隨著我國經濟環境改變和保險業對外開放尤其是我國加入世貿組織,保險業經營環境發生了根本變化,我國保險賠付率上升、銀行利率變化、本市場發展、國外保險巨頭競爭以及保人要求提高,使得保險基金對我國保險公司生存和發展具有越來越重要意義,良好收益成為保險公司贏得競爭最重要環節。
  9. The preliminary thoughts of operational mechanism of soil and water conservation in shanxi in the early of 21st century are : soil and water conservation ( basic construction project ) has accumulated some experiences, it is a breach of developing modern soil and water conservation and carrying out supervision system of soil and water conservation, it needs to be improved and raised ; the project ' s proportion of soil and water conservation is gradually enlarged, the project investment in the province is about 0. 2 billion yuan ( rmb ) every year, to insist on professional team ' s management and pursue the project ' s accounting system actively ; the peasant households are a main part of harnessing and development, to develop large households of soil and water conservation actively and play their typical and leading role fully ; to grasp the cities ' soil and water conservation well during the period of “ the tenth five - year plan ”, the project investment is inclined round the cities

    21世紀初期山西水土保持運行機制初步設想是:基本建設項目水土保持已一定經驗,它是發展現代水保和實行水保監理制突破口,要不斷完善提高;項目水保比重逐漸加大,全省每年立項在2億元左右,要堅持專業隊治理,極推行項目報賬制;農戶是治理開發主體,要極發展水保大戶,充分發揮大戶典型帶動作用; 「十五」期間也要抓好城市水保,項目要向城市周圍傾斜。
  10. At first, this thesis analyzed some essential elements about the system of personal houe loan and make the compare to chinese and foreign system, and established the system of personal credit evaluate ; the second, the thesis discusses the investment technique and strategy of national debt in the provident fund, and established the model about how to invest the national debt ; the third, the thesis build the forecast model about fund collecting and drawing, and make use of the combination invest theories to build model of individual loan and national debt ; at last, the thesis analyses the risk ' s inside reason of house funds with the risk type, and to give out the related suggestion to funds risk. mechanism. the thesis research show me how to make use of that some models and methods in the process of haf management and make me deeply understand the house funds

    本文首先分析了個人住房貸款制度基本要素,即貸款期限、貸款利率與抵押物價值比例、政府在個人住房貸款市場中作用、貸款違約情況下處置措施、個人住房貸款流動性問題,並對中外製度作了比較,建立了個人信用評分評級體系和信用評估模型,並以重慶市住房公金為研究對象做出了住房金個貸風險評估實證研究;其次,分析了影響國債價格走勢因素,討論了公金國債技巧和策略,並建立了基於理論國債組合模型;接下來,根據產負債管理理論中金總庫法和金分配法分析了公金總體金項目來源和運用,並就此作了總量平衡模型,對住房公金季度計歸集金額作了直線回歸和季節趨勢比率預測,運用組合理論建立了公金個人貸款和國債組合最優化模型;最後,探析了住房金風險內在原因和風險類型,從金籌集風險、信貸回歸風險、保險機制、法律風險和政策風險五個方面為住房金風險防範機制建設提出了相關建議。
  11. Meanwhile, many countries see attracting foreign direct investment ( fdi ) as an important element in their strategy for economic development because fdi is widely regarded as an amalgamation of capital, technology, market, and management. since these flows of fdi are playing and will likely continue to play a key role in the integration of china into the world economy, this dissertation focuses on the factors affecting the level of fdi across provinces in china from 1994 to 2003 and the study differentiate from other similar studies on china ' s fdi by looking at possible changes in importance of determining factors through time

    通過對外國直接理論演變和新發展回顧,總結出對我國外國直接可能因素,如市場需求和市場大小、聚集程度、勞動成本、勞動力質量、科研水平、開放度等六大因素及其可行變量,如gdp 、人均gdp 、零售額、人均零售額、人口數、每平方公里公路長度、每平方公里鐵路長度、國內、每個工人國內國內fdi 、 cfdi / cinv 、工程師、科學家和技工占職工數百分比、平均工、專利數量、大學數量、進口額/ gdp 。
  12. Enterprises need outsourcing capital of low - risk and low - cost to extend, the security issue and the market in which the security is sold to the investors are necessary to the enterprise ' s accumulating and distributing capital. the security market lets the enterprises get rid of excessive dependence on the bank, and realize the diversity choices of financing. the market chooses out the enterprises in the industries which have latent capacity and outstanding achievement, gives the enterprises capital sustenance for deep development by security financing, and finally promotes the industry development by supporting the core - enterprises in the industries

    證券市場出現,創造了一個金融與微觀主體活動直接相聯系機制,企業擴張需要低風險和低成本外源本,證券發行和把證券出售給市場對于企業和配置本來說必不可少,證券市場使企業擺脫了對銀行融過度依賴實現了融選擇多樣化,證券市場把產業中具有發展潛力有成長業績企業挑選出來,通過證券融使其獲得進一步發展金支持,通過扶持產業內核心企業促進了產業成長。
  13. But the number of insurance preparation fund that accumulates as insurance company is larger and larger, in national laws and regulations inside limit, insurance company participates in capital market to invest by right of abundant financing

    但隨著保險公司保險預備基金數額越來越大,在國家法規答應范圍內,保險公司憑借雄厚金去參與本市場
  14. The first part of the thesis set forth the essential theory of agriculture protection based on the essential status and weakness of the agriculture. point out that it ' s necessary to use the finance to sustain the agriculture for many reason such as the shortage of agricultural resource, the redundancy of the supply to the industy, the challenge and the rule after the wto entry and the task of well - off construction. the second part of the thesis analyze the actuality of the agriculture sustain and protection from the three aspect - the scale, the construction and the effect of expend for the agriculture sustain and protection, search the policy reason such as the increasing gap between the urban and the country and the slow speed of peasant ' s income, investigate the series of problem such as the small investment scale, irrationality for the construction, the disorder for the fund management and the imbalance assignment for the budget

    本文採用理論研究與實證分析相結合方法,以農業基礎地位和弱質性為起點,闡述了財政支持保護農業基本理論,提出由於我國農業源相對匱乏,過去曾為工業提供過多,以及入世以後所面臨諸多規則、挑戰和當前我國推進全面小康建設艱巨任務,使得財政支持保護農業成為必然;接著就財政對農業支出規模、結構和效果,分析我國財政支持保護農業現狀,探尋目前我國城鄉差距加大、農民增收緩慢政策原因,深入研究了財政支農方式上規模小、結構不合理、金管理混亂、金預算安排不平衡等問題;著重從財政入政策、農產品價格和收入政策以及進出口政策三個方面對國外財政支農政策進行了分析和借鑒,突出完善我國財政支持保護農業發展對策,並結合我國農業發展實際水平,借鑒國外經驗,闡明自己見解。
  15. In the relationship between capital flows, foreign debts and currency crises, the author considers the investment opportunity in a small open economy as a common resource, and a model is built to explain that the overutilization of investment opportunity will result in excessive capital inflows and foreign debts accumulation which trigger currency crises eventually. the author also uses mathematical models to explain how the government guarantees contribute to the over - inflows of short term foreign debts ( stfd )

    在討論本流動和外債與貨幣危機關系時,認為開放小國經濟中機會是一種公共源,用模型解釋了者對它過度利用導致了過多本流入和外債,最終引發貨幣危機,並用數學模型解釋政府對項目擔保如何導致大量短期外債流入。
  16. First of all, this paper review the research of behavioral corporate finance theory on company ’ s investment and financial policy, summarize the market timing theory of capital structure under the frame of behavioral corporate finance theory, afterwards use the model of baker and wurgler ( 2002 ), design appropriate variable based on our country ’ s fact to test empirically formation of our listed company ’ s capital structure. the research results document that capital structure is not the cumulative outcome of past attempts to time the equity market

    本文在回顧了行為公司金融理論關于研究基礎上,對行為公司金融理論框架下本結構市場時機選擇理論進行了總結,然後借鑒baker 、 wurgler ( 2002 )模型,結合我國實際構造合適指標對我國上市公司本結構形成進行實證檢驗,研究發現:本結構不是公司過去進行市場時機選擇努力結果。
  17. With prudent financial management principles and the healthy financial reserves built up over the past years, the registry will have sufficient funding to meet recurrent expenditure and support future investment and development projects

    由於採取審慎財政管理原則,加上歷年所財政儲備充裕,該處將有足夠財政源,以保持經常開支及支付未來及發展計劃所需費用。
  18. Through its wealth management operation, manulife offers a range of investment products to assist customers in developing diversified portfolios for long - term wealth accumulation

    透過財富管理業務部,宏利為客戶提供一系列不同產品,協助他們建立多元化長線組合,以財富。
  19. He also has wealth of investment experience acquired as a director of robert fleming investment management, one of london s leading merchant banks

    此外,他曾於倫敦一家主要商人銀行robert fleming investment management出任總監一職,了豐富經驗。
  20. I believe this is the most positive way the reserves can be put to use and, from the perspective of hong kong s overall economic interest, this is obviously the best investment. streamlining government structure strictly speaking, the value of government assets far exceeds the $ 400 billion reserves it has accumulated over the years, because potential income can be derived from the development and sales of government properties, from the government s huge investments in the airport, railways and mortgage companies, and also from the

    嚴格而言,政府產遠超過財政儲備四千多億,其他如產業管理處現在不停地發展和出售房地產,政府在機場、鐵路、按揭公司等已作出了龐大,多項以營運基金形式運作公營部門,都是可變為財富工具,政府如何管理這些,以提高它們增值能力,也是本人素來關注問題。
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