股票資金 的英文怎麼說

中文拼音 [piàojīn]
股票資金 英文
equity fund
  • : Ⅰ名詞1 (大腿) thigh; haunches 2 (機關、企業、團體中的組織單位) section of an office or enterp...
  • : 名詞1 (作為憑證的紙片) ticket 2 (選票) ballot 3 (鈔票) bank note; bill 4 (強盜綁架去用做抵...
  • : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
  • : 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...
  • 股票 : shares; share certificate; stock certificate; equity security; stock; capital stock
  • 資金 : fund; capital
  1. In august, they withdrew only $ 827 million from stock funds, according to research firm amg data services

    根據amg數據服務公司的研究表明,在8月份,投者僅從中贖回8 . 27億美圓。
  2. This fund will be adopted " core - satellitic investment is politic ", " core " be in showing in its investment is combined not the grail of invest in of stock capital fund under 80 is blue prepare, take the kind that buys hold ; " satellite " the part adopts a variety of strategy, invest in is new, in pannikin, asset recombines board piece, derive a tool to wait

    該基將採取「核心衛星投策略」 , 「核心」是指在其投組合中不低於80的產投于大盤藍籌,並採取買入持有的方式; 「衛星」部分則採取多種策略,投于新、中小盤產重組板塊、衍生工具等。
  3. In 2002 it implemented a new performance attribution model for analysing the skills of equity managers further to the existing analysis for bond managers

    除了現有對債券基經理的分析外,該處亦於2002年推出新的表現評估模型,以分析經理的投管理技巧。
  4. The market viewed the increase as mild compared to the potential introduction of harsher austerity measures such as capital gain tax on stock trading and property withholding tax

    市場認為,與徵收本利得稅和房地產預提稅等可能實施的更為嚴厲的措施相比,提高存款準備率仍算是溫和的。
  5. To make your application as far as possible through, offer a few asset of the individual to prove as far as possible please : futures of national debt of foreign currency of fund of the card that be like a room, car card, big deposit receipt, stock kind purchase a proof, conduce to already so through examine and verify, can raise the forehead that give a letter to spend again

    為了使您的申請盡可能的通過,請盡量提供個人的一些產證實:如房證、車證、大額存單、外匯國債期貨類的購買證實,這樣既有助於通過審核,又能提高授信額度。
  6. Offers information on importing, exporting, partnering, investing, and establishing a business

    -提供北美證券市場債券期權和外匯交易等投信息服務。
  7. “ fundamental indexes : current and future applications. ” institutional investor ' s fifth annual exchange - traded funds review

    「基本面指數:現在和未來的應用。 」機構投者的第五期年度交易所交易基(又稱指數型)評論。
  8. Note that with profit growth at 37 % yoy for the first eight months of the year and stock market financing doubling this year, the availability of self - raised funds and capital market funding can easily offset the slowdown in lending growth

    應注意到,隨著今年頭八個月利潤年增長37 %及市場翻倍,自籌足以輕松抵消信貸增長放慢的影響。
  9. The principal hong kong equity fund may hold cash and short - term investments

    信安香港可持有現和短期投
  10. This thesis shows : ( 1 ) the liquidity risk of stock assert of the open - end fund shows an obvious tailed risk. ( 2 ) it can efficiently control the liquidity risk of the stock assert of the open - end fund by the cvar optimized model. ( 3 ) the proportion of the stock

    ( 2 )通過cvar調整的產組合優化模型可以有效地控制開放式基產組合的流動性風險。 ( 3 )產的權重配置影響著產組合的流動性風險的大小。
  11. It is said that the liquidity risk of the open - end fund in our country has a very high relativity with the liquidity of the stock assert of the open - end fund, which is based on the environment of the investment of the open - end fund in our country, so we can control the liquidity risk of the open - end fund by controlling the liquidity risk of the stock assert

    本文就是在這樣的背景下展開研究的。本文根據我國開放式基的實際情況,指出開放式基的流動性風險與其產組合的流動性風險有著極大的相關度,因此控制了產組合的流動性風險也就控制了開放式基的流動性風險。
  12. Then, this paper introduce a new method of measuring the risk ? ? cohesive value at risk ( cvar ), which is more logical than the var on optimizing the portfolio according to the characteristic of the stock bargaining market of our country, it constructs a corresponding index of liquidity risk of the stock assert of the open - end fund, and by constructing a optimized model in cvar, the liquidity risk of stock assert of the open - end fund is efficiently controlled

    接著,本文引入了一種全新測量風險的方法cvar方法,並且根據我國交易市場的特點構造了相應的開放式基組合的流動性風險指標,通過構造cvar調整的投組合風險優化模型有效的控制了產組合的流動性風險。本文的研究表明: ( 1 )開放式基組合的流動性風險具有明顯的尾部風險。
  13. Generally, the holders of the convertible bonds have two major rights : 1, they can receive a fixed cash flow during the term of conversion because the convertible bonds belong to the fixed income bonds ; 2, they can stop the fixed cash flow during the term of conversion and convert the bonds to underlying stock asset according to the formerly stipulated items and price, for the convertible bonds also belong to the affiliations of the securities

    一般的,可轉換債券持有人具有兩項主要的權利:一是作為固定收益證券,在轉債存續期內收到固定的現流收入;二是作為衍生產品,在轉換期內終止固定的現流收入,按照預先規定的品種和價格將債券轉為標的產。
  14. So we can see the regulation ineffectiveness has some institutional causes. thirdly the paper expatiates the relations between government and government bond market, corporation bond market and stock market, and points out their relations are regulation and competition

    再則,指出了政府與國債市場、企業債券市場、市場之間既是監管與被監管的關系,又是通過國債參與企業債券、股票資金需求的競爭關系,並進一步分析了政府與國債市場、企業債券市場之間的關系。
  15. The japan equity fund is a unitised equity fund of the scheme which is designed to provide medium to long term capital growth for members who hold a longer term investment view and who are prepared to accept significant fluctuations in the value of their investments in order to achieve long term returns

    日本是本計劃的一個單位化的。如果成員放眼于較長線的投,又願意承擔投價值出現較大波動的風險以達至長期回報,則日本的設計正好切合他們的要求,能為他們提供中期至長期本收益增長。
  16. The european equity fund is a unitised equity fund of the scheme which seeks to achieve medium to long term capital growth for members who hold a longer term investment view and who are prepared to accept fluctuations in the value of their investments in order to achieve long term returns

    歐洲是本計劃的一個單位化的。如果成員放眼于較長線的投,又願意承擔投價值出現波動的風險以達至長期回報,則歐洲的設計正好切合他們的要求,能為他們提供中期至長期本收益增長。
  17. The pacific asia equity fund is a unitised equity fund of the scheme which is designed to provide medium to long term capital growth for members who hold a long term investment view and who are prepared to accept significant fluctuations in the value of their investments in order to achieve long term returns

    亞太是本計劃的一個單位化的。如果成員放眼于長線的投,又願意承擔投價值出現較大波動的風險以達至長期回報,則亞太的設計正好切合他們的要求,能為他們提供中期至長期本收益增長。
  18. The international equity fund is a unitised equity fund aiming to provide medium to long term capital growth for members who hold a longer term investment view and who are prepared to accept fluctuations in the value of their investments in order to achieve long term returns

    國際是本計劃的一個單位化的。如果成員放眼于較長線的投,又願意承擔投價值出現波動的風險以達至長期回報,則國際的設計正好切合他們的要求,能為他們提供中期至長期本收益增長。
  19. The north american equity fund is a unitised equity fund of the scheme aiming to provide medium to long term capital growth for members who hold a long term investment view and who are prepared to accept fluctuations in the value of their investments in order to achieve long term returns

    北美是本計劃的一個單位化的。如果成員放眼于長線的投,又願意承擔投價值出現波動的風險以達至長期回報,則北美的設計正好切合他們的要求,能為他們提供中期至長期本收益增長。
  20. The china value fund is a unitised equity fund of the scheme which is designed to provide medium to long term capital growth for members who hold a longer term investment view and who are prepared to accept significant fluctuations in the value of their investments in order to achieve long term returns

    中華威力基是本計劃的一個單位化的。如果成員放眼于較長線的投,又願意承擔投價值出現較大波動的風險以達至長期回報,則中華威力基的設計正好切合他們的要求,能為他們提供中期至長期本收益增長。
分享友人