貨幣比較表 的英文怎麼說

中文拼音 [huòjiàobiǎo]
貨幣比較表 英文
cambist
  • : 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
  • : 名詞(貨幣) currency; money; coin
  • : Ⅰ動詞1 (比較; 較量高下、 長短、距離、好壞等) compare; compete; contrast; match; emulate 2 (比...
  • : Ⅰ動詞1 (比較) compare 2 [書面語] (計較) dispute Ⅱ副詞(比較) comparatively; relatively; fair...
  • : Ⅰ名詞1 (外面;外表) outside; surface; external 2 (中表親戚) the relationship between the child...
  • 貨幣 : money; currency
  • 比較 : 1 (對比) compare; compare with; contrast; parallel (with); comparison; by comparison; in comp...
  1. But as a kind of mature management system, it has n ' t been applied successfully in most of chinese companies. the reasons of that include misunderstanding of science property of overall budget management 、 unfit budget management organization 、 lack of scientific management methods, and another important reason is that most of companies use the traditional building method of budget management system. the traditional building method based on the company ' s existing department functions, keeping the existing management process and work process fixedness, and expressing the department ' s work plan in quantity or currency form as their budget

    然而全面預算管理作為一項成熟的管理體系,在我國大部分企業卻並沒有得到很好的實施,這其中固然有對全面預算管理科學性認識不足、預算編制工作的組織不到位、缺乏科學的預算管理手段和控制手段等原因外,另一個重要原因是大部分企業在構建全面預算管理體系時使用的是傳統的構建方法,即基於企業現有的部門職能劃分而進行的,在保持作業流程和管理流程不變的情況下,將部門工作計劃以或數量的方式示出來,即成為公司預算。
  2. This paper from the view of financial capital globalization, studies on the effects of financial capital flow, the relationship between capital flow and financial crisis, the choice of regulation or deregulation and the problem of china ' s financial safety. firstly, this paper discusses the conceptions of economic globalization, financial globalization and financial capital globalization and based on the existing capital flowing theories and financial theories, sets up an academic framework for further study. secondly, this paper applies a representative new currency crisis model - - - - - - c - p - r model to analyze the effects of capital controls

    本文首先對金融資本全球化與經濟全球化、金融全球化進行界定,在充分吸收現有的資本流動相關理論和金融危機理論的基礎上,建立起統一的理論分析框架;然後運用一個有代性的第三代危機模型? ? c ? p ? r模型分析了資本控制的有效性;繼而,建立了一個小型開放經濟的三階段模型進行了資本控制有效性的數理分析,並在此模型中,運用博弈論進一步探討了間接資本控制的有效性及有效稅率;進而,討論了發展中國家可供選擇的資本控制措施,認為資本控制應主要採用間接措施;最後,從資本流動角度對中國金融安全現狀進行分析,並有針對性地提出政策建議,尤其是資本帳戶的開放一定要恪守循序漸進的原則。
  3. By researching, the major innovations of this paper are : ( 1 ) analysises the assets and liabilities table and the loss and gain table of life insurance companies in china from 1998 to 2001 in detail, comprehensively reflects the structure of assets and liabilites in the life insurance companies even in the whole life insurance industry of our country during the recent years ; ( 2 ) on the aspect of assets management, our country should reduce the proportion of monetory assets, improve the proportion of investment assets and establish the scientific investment management system, and suitably lower the proporty of the fixed assets on the premise of guaranteeing the operation ; ( 3 ) on the aspect of management of matching assets and liabilities, the life insurance company of our country should reduce the sales of the policies of prearranged high insuranc rate, develop the new type of life insurance products and match each policy with prearranged high interest rate with high interest rate investment correspondingly ; ( 4 ) as refering to the index system of assets and liabilities management of the commercial banks in our country, it has explored that of the life insura

    第三部分從壽險公司的資產管理、負債管理、資產負債匹配管理及資產負債匹配管理評價指標四個方面進行了分析和研究。本文的主要創新之處是: ( 1 )將自1998年至2001年國內所有壽險公司的資產負債和損益進行了詳細的分析,全面地反映了我國近年來各壽險公司及整個壽險業資產負債的結構狀況; ( 2 )在資產管理方面,我國應適當降低類資產的例、提高投資類資產的例並建立科學的投資管理體系、保證經營的前提下適當降低固定資產的例、盡量減少佔用類資產的例等; ( 3 )在資產負債匹配管理方面,我國壽險公司應盡量減少高預定利率保單的銷售、發展新型壽險產品,每銷售一批高預定利率的保單就應選擇相應高利率的投資與之對應匹配; ( 4 )借鑒我國商業銀行資產負債管理的指標體系,探討了壽險公司資產負債匹配管理的指標體系。
  4. For example, a growth fund with its major investment in equities would have higher risks. however, drawing from past experience with regard to long - term performance, the return rate of these funds is generally higher than the money funds which invest conservatively in bank deposits or in short term bills

    舉例來說,投資于股票大的增長基金雖然風險程度高,但從過往長遠現來看,這類基金的回報率,一般都高於保守形式而祗投資于銀行存款或短期票據的基金。
  5. To facilitate evaluation an ' d comparison of tenders, the employer will convert the amounts in various currencies in which the tender price is payable ( excluding provisional sums but including daywo ` rk, where priced competitively ) to rmb at the selling rates established by bank of china, on the date specified fo ` r the opening of tenders

    為了評價和標書,業主可把不同示的數額(不包括臨時費用,但包括加班費)以中國銀行開標日人民賣出價將其換算成人民
  6. The latter was associated with weak economic activity, as well as a portfolio re - allocation in search of higher returns in the light of record - low deposit rates relative to yields on alternative assets

    廣義收縮,是因為經濟活動現疲弱,以及與其他金融資產的收益率,存款利率處于歷史低位,市民因此改變投資組合,尋求高回報。
  7. Compared to past meetings, the 1997 annual meetings were the largest in scale in terms of the number of participants. the total number of delegates from the 181 member countries, observers, special guests, visitors, staff of the world bank group and imf, press and local staff registered for the meetings exceeded 19, 000, a record attendance

    與歷屆年會,九七年會以出席人數計是規模最盛大的一屆,登記參與者總數超過一萬九千名,包括來自一百八十一個成員國家地區的代觀察員特別嘉賓訪客世界銀行集團及國際基金組織職員傳媒代及本地職員。
  8. Compared with the negative monetary shocks the positive relatively had much less obvious effect, which indicates that the negative monetary policy can effectively restrain excessive economic booms, but the positive monetary policy cannot obviously help breaking away from economic depressions

    從對稱性角度看,緊縮性的政策效果明顯,擴張性的政策效果則相對弱,明緊縮性政策能夠有效地抑制經濟的過熱增長,而擴張性政策卻無法擺脫經濟的惡性衰退。
  9. Finally, we shall describe the similar phenomenon in china. on account of the exchange control over capital flows, the ratio of foreign deposit to broad - defined money is so low, compared with that of latin countries

    近20多年來我國人民匯率、中美通脹率、實際利率的以及當前的資本外逃現象明,中國存在潛在的替代且波動大。
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