資產流動性 的英文怎麼說

中文拼音 [chǎnliúdòngxìng]
資產流動性 英文
liquidity
  • : 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...
  • : 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 ...
  • 資產 : 1. (財產) property; means 2. (資金) capital fund; capital3. [經] (資金的運用情況) assets
  • 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
  1. Therefore, the lack of assets liquidity can be regarded as the important reason for financial distress of enterprises

    因此企業資產流動性不足是企業陷入財務困境的重要原因。
  2. The article first introduces practice experiences of other countries ; then according to facts of our country, discuss feasibility of use of securitizition in consumer credit and design the basic flow of securitizition of asset in consumer credit. finally, the article analyzes problems of securitizition of asset in consumer credit of today. at the same time, the author gives some pieces of advice

    本文寫作目的就是為了解決消費信貸發展容易導致銀行資產流動性不足的問題,文章通過借鑒國外的實踐經驗,結合我國的實際情況,探討了證券化在消費信貸中運用的可行,設計了消費信貸證券化的基本程,並在我國的現實背景下剖析了證券化面臨的難題,提出了一些對策建議。
  3. In recent years, asset - backed securitization has become a topic of the economic and financial domain in our nation, as a financial innovation, the application of asset - backed securitization in china will not only accelerate the effective circulation of financing, but also abate the risk of liquidity and the pressure of capital sufficiency on the commercial banks, furthermore, it will accelerate our financial system reform, improve the efficiency of financial market, and quicken the step of capital market internationalization and modernization, it is of great practical significance to import and use the asset - backed securitization for the economy and finance development in china, although, thee are some foreign models for asset - backed securitization, but the factors which influence the securitization in china are very different from those of foreign countries, we should n ' t copy word for word foreign models, therefore, it is worthy of probing and researching a model, which meets the situation in china nicely

    證券化作為一種金融創新,對于深化投融體制改革,提高資產流動性、分散風險、提供新的投融品種以及優化源配置等具有重要作用。積極引入證券化並運用這一金融創新工具,將對我國經濟金融的發展有著重大的現實意義。證券化雖然有國外的模式可以借鑒,但是由於我國影響證券化的許多具體因素與國外很不相同,因此不可以照抄照搬國外的模式,應該從實踐的角度,根據我國的自身特點以及與證券有關的環境因素,來探索適合我國國情的證券化模式。
  4. The problems in it lie in : 1 ) poor operation situation and decreasing competition ability which symbolized decreasing asset flowablity, insufficient equity capital, huge bad asset and centralization of financial risk ; 2 ) uncertain operation surrounding which comes from the incoming of foreign bank and the developing of financial securitization with china ' s entrance into the wto and the globalization and synthesization on finance

    國有商業銀行的問題在於:一方面,經營狀況不理想,競爭力下降,表現為資產流動性下降、自有本不足、巨額不良、金融風險集中;另一方面,隨著入世和金融的全球化、綜合化,外銀行的進入和金融證券化的發展使商業銀行處于更加不確定的經營環境。
  5. Based on value - at - risk we give an example of how to measure the credit risk and provide the process of applying this method in risk management. in order to build a risky prediction model, we select 4 financial indexes from 16 ; these are the ratio of bed debt, the operating cost, the asset - profit ratio and the liquidity ratio

    以農村信用社為實證研究的對象,從16個財務指標中篩選出真正對信用社發生危機有顯著影響的4個指標:不良貸款比率、營業費用比率、利潤率和資產流動性比率,建立了農村信用社風險預警機制的模型。
  6. The banking system of china has great vulnerability, which is shown by its large volume of bad asset, low capital adequacy, poor asset liquidity and low profitability

    我國的銀行體系具有很大的脆弱,主要表現在不良多、本充足率低、資產流動性差和盈利水平低。
  7. This phenomenon is prominent especially among the privately owned companies recently. in my thesis, i have discussed the forming, classifying, characters and actuality of shell resource of the stock market in our nation, also systematically analyzed the price of bargaining and the influence factors, in a detail analyzed its movitity and choose of utilizing shell resource, actively thought of and research the efficiency and the shareholder ' s fortune

    在殼源利用過程中,買殼方和賣殼方考慮的核心問題是殼公司的定價問題,本文通過評價國內外對殼公司定價的方法之後,利用成本收益法對買殼上市行為進行了成本收益分析,得出殼源交易的邊際價格,並且根據邊際價格公式發現價格受到殼公司資產流動性、籌成本等因素的影響。
  8. However given that local banks are well capitalized, liquid and have good underlying profitability, they should be able to cope with such challenges

    但由於本地銀行本雄厚,資產流動性高,基本盈利能力也良好,因此應足以應付這些挑戰。
  9. For example, the separate market theory and the income - risk theory can not make clear the problem of fund discounts. correspondingly, the achievement theory and illiquidity of assets theory only can explain the fund discounts partly. it founds that investor sentiment theory build on behavioral finance appears to be the driving force of the dynamic fund discounts

    通過各種直接和間接的統計檢驗,我們發現傳統的一些國內外對封閉式基金折價問題的闡釋,有的根本不能解釋我國封閉式基金的折價問題(如市場分割理論、收益風險對應理論) ,有的則只能起到部分的解釋作用(如業績理論、資產流動性理論) ,而建立在行為金融學基礎之上的投者情緒理論相對來說有較強的解釋力。
  10. By holding down the value of the yuan and allowing a consequent build - up of excess liquidity, china risks repeating the same error

    通過人民幣被低估,導致資產流動性過剩,中國危險地重復同樣的錯誤。
  11. This would reduce import prices of food and raw materials and also curb the build - up of liquidity as a result of rising foreign - exchange inflows

    這將降低食品和蔬菜原料的進口價格,同時擬制因外匯入增加導致的資產流動性過剩。
  12. The results show : in 13 possible variables, operating fund ratio, stock turnover ratio, total assets turnover ratio, rate of return on total assets and rate of retained profit to total assets have an important influence on finance and the accurate rates of our models are 86. 8 % for - 0 - year data and 79. 82 % for - 1 - year data

    結果表明: 13個變量指標中,反映資產流動性的營運金比率,反映經營能力的存貨周轉率、總周轉率以及反映企業獲利能力的報酬率、累計盈餘對于企業的財務有著重要的影響,其預測的準確在0年達到86 . 8 , 1年達到79 . 82 。
  13. The company has good liquidity

    該公司的資產流動性
  14. The research of financial distress restructuring under asset liquidity loss

    資產流動性損失下財務危機重組研究
  15. Liquidity is the ease with which an investment can be sold and turned into money

    資產流動性是指變現的難易程度。
  16. Liquidity can also suggest the ease with which money can be rasied in debt market

    資產流動性還可以表現為在借貸市場中可以容易的獲得金。
  17. One way to measure investors ' concern is by their willingness to buy new debt investments

    資產流動性也能說明在債券市場金籌集的難易程度。
  18. Thus, the bank should do well i n the liquidity planning management and the clients " loan requirement prediction ; strengthen the credit management and improve the credit capital quality ; adjust the capital structure, enhance the capital liquidity ; develop middle business and the business out of the asset and liability sheets by financial innovation ; strengthen the high level of civilization services ; intensify the research towards the marketable interest ratio and prevent the liquidity risk caused by the changing of interest rate

    為此,該行應該做好計劃管理,作好客戶需求的預測;加強貸款管理,提高信貸質量;調整結構,增加資產流動性;通過金融創新,大力發展中間業務和表外業務;加強優質文明服務;加強對利率市場化的研究,防止利率變化引發的風險。
  19. The conclusion is that corporate asset securitization high up the fluidity of asset, lows property ratio of debt to net worth, provides a continual liquidity supplement, highs up firm value. secondly, it provides new channel that has lower cost by breaking through the restriction of traditional financing instruments. asset securitization is an off balance - sheet financing manner, it would not disperses control of stockholder

    本文通過論證得出了如下結論: 1 .在正確的使用證券化這一融工具的條件下,證券化提高了企業,降低了負債率,也為企業提供了一種長期的資產流動性補償機制,可改善企業本結構,提高了企業價值; 2 .證券化為企業開辟了有別于股票和債券發行等融方式融成本較低的本市場。
  20. Secondly, the skill and care duty concerning the diversified investment, asset liquidity, delegation of manager power, efficient management and exercise of the shareholder right are specified. thirdly, the writer explores the regulation on several specific conflicts of interest transactions which usually take place in investment fund industry. some concrete suggestions are put forward on legislative perfection of the current laws and regulations governing the manager fiduciary duty

    最後,對基金管理人在分散投、保持基金資產流動性、基金管理人親自經營管理和運作基金、有效管理基金、基金于其他基金所發行的證券以及基金管理人行使股權等方面所負注意義務的具體標準進行了探討,並對我國現行法律法規的完善提出了建議。
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