資產選擇 的英文怎麼說

中文拼音 [chǎnxuǎnzhái]
資產選擇 英文
portfolio selection
  • : 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動詞1. (挑選) select; choose; pick 2. (選舉) elect Ⅱ名詞(挑選出來編在一起的作品) selections; anthology
  • : 擇動詞(挑選) select; pick; choose
  • 資產 : 1. (財產) property; means 2. (資金) capital fund; capital3. [經] (資金的運用情況) assets
  • 選擇 : select; choose; opt; election; choice; culling; alternative
  1. The feature of the thesis is that the author does a deep thought and study in specific characteristics of real estate, combined with the actual need of reai estate after china ' s joining in wto. on the base of the above, the author also does a deep and all - round analysis of specific characteristics of real estate management, the thirst for financing and its ways and measures for choice, and baldly puts forward the reforming route of financing organization and measures in real estate, the strategy of marketing mix, the foundation of real estate management system and perfection of regulations in real estate, all of which appear weak in china ' s real estate market at present

    本文的寫作特色在於,緊密結合中國加入們後房地業發展的實際要求,認真思考並深入研究了房地業自身的特殊性,並以此為切入點和突破日,全面深入地剖析了房地市場管理的特色、對融的饑渴和可供的融渠道及方式;大膽而又嘗試性的提出了房地機構、手段的改革思路、市場營銷組合策略的運用及房地經營管理體系的構建和行業規范等現實中國社會尚顯薄弱的對策及主張。
  2. The thesis, somehow, is a summary, which expounds the main contents of traditional portfolio theory ( tpt ) and mpt, also gives a comparison between tpt and mpt ; analyses two aspects of markowitz theory, one is the effects of risk disperses and the demonstration, the other is how to make an optimal portfolio strategy ; researches into capital assets pricing model ( capm ), factor model ( fm ) and arbitrage pricing theory ( apt ) respectively in three parts ; studies another two parts, one is the premise of mpt, which is the efficient market hypothesis ( emh ), the other analyses the behavior finance theory ( bft ) produced in the background of challenging and querying to emt and capm. the thesis finally discusses the researching and applying prospects of mpt in china

    論文對現代組合理論與傳統組合理論分別進行了分析,並對兩者進行了比較研究,對馬克維茨的均值? ?方差理論從組合風險分散效應和最優組合兩方面進行了重點分析,對定價模型、因素模型、套利定價理論進行了一定深度的分析和研究,對現代組合理論的前提假設? ?有效市場理論及在對有效市場理論和定價模型形成挑戰和質疑背景下提出的行為金融理論進行了論述,論文最後分析了現代組合理論在我國的研究及其應用的廣闊前景。
  3. Legal affairs on real estate : participate in the design and selection on the real estate investment planning ; participate in the establishment of real estate company ; act as the legal adviser of the real estate company ; assist conducting the transfer out, assignment and mortgage of the right to use the land ; participate in the assignment of real estate project ; participate in the pre - sell, marketing of the real estate, mortgage loan, building leasing ; supply the legal services on real property management

    房地法律業務:參與房地方案的設計和,參與房地項目公司的設立,擔任房地公司的法律顧問,協助辦理土地使用權的出讓、轉讓和抵押,參與房地項目的轉讓,參與房地預售、銷售、抵押擔保貸款、樓宇租賃,提供物業管理法律服務。
  4. Through the canalization to the marketing strategy research of the substantial evidence of the fuxin company, in the foundation that the author has collected large quantity of data, mainly using the relevant marketing theory of dr philip kotler, famous as " the father of marketing ", the author importantly expound that in the operating process, to small enterprise, there are six most important contents, that is : the market marketing environment analyzes, the market marketing investigation analyzes, the marketing segmentation, the choice of the marketing positioning, target market, the pricing of product, adjective pricing strategy, the marketing outlet management of the business and credit sale risk

    本文作者通過對富新公司的營銷策略研究實證分析,在收集大量料的基礎上,主要應用有「營銷學之父」稱謂的菲利普.科特勒( philip . kotler )博士有關營銷策略的相關理論,重點闡述了在經營運作過程中,對中小企業至關重要的六個方面的內容:市場營銷環境分析,市場營銷調研分析,市場細分、市場定位、目標市場的品定價和價格調整戰略,企業的營銷渠道管理以及賒銷風險的問題。
  5. Here the using of grey associated analysis can give out the correlative extent between the reference casus and the intangible assets being appraised and increase precision of the application of the market approach

    參照物的是市場法應用的關鍵,本文引入灰色關聯分析來比較參照物與目標無形之間的相似程度,提高了市場法的應用準確性。
  6. To shape the best configuration of the enterprise resources via rational region options, which is called enterprises " regional strategic theories. above which, strategic alliance of relevant enterprises was formed on the catenarian industry. with effective use of external resources and configuration of internal resources optimization, core competitive edge of enterprises was promoted ultimately

    所謂企業區位戰略理論就是通過合理的區位,形成企業自身源的最佳配置,並在此基礎上,形成業鏈上相關企業的戰略聯盟,達到內部源的優化配置和外部源的有效利用,最終形成企業自身的核心競爭力。
  7. The system of real consigner of the state - owned assets will prevent the anomy

    控制國有監管者道德失范的制度
  8. This paper constructed a new index : risk - return tradeoff ratio ( rrtr ), for portfolio selection, based on a premise that the reason of investors bearing the risks is to gain the super returns

    本文根據投者冒風險是為了獲得超過無風險收益的超額收益這一基本假定,構造了風險收益抵換率這一指標作為投者進行資產選擇的基礎。
  9. Now, in our country, many listed companies prefer to equity financing, which is partly caused by the fact that corporation bonds are of low expectancy of gains and high expectancy of bankruptcy cost in our stock market

    股權融事實上的低成本使得我國上市公司普遍偏好股權融,而公司債券的低收益預期和高預期破成本以及普遍存在的投機心理是我國證券市場上投股票投的重要原因。
  10. Case study on the choice of basal assets of short - term interest rate futures

    我國短期利率期貨基礎資產選擇實證分析
  11. In the forth part, the paper uses markowtiz mean - variance analysis in portfolio choice and capital markets and professor zhang zhongzhen pivoting operation to solve portfolio loans

    第四部分,文章利用markowtiz的資產選擇理論和張忠楨教授的樞軸旋轉運演算法試圖解決貸款組合問題。
  12. Focus on the selection technology, this paper employs the mathematical method to analyze the feasibility of the process in selecting the suitable non - performing assets for securitization

    在不良分析中,主要利用了我國商業銀行的歷史料和相關的數據模型,闡明了不良資產選擇和確定的可行方式。
  13. In detail, some main concepts in this thesis are defined in theoretical parts, and besides, the outline of portfolio selection theory and capm are presented in these parts

    具體到研究各章,本文先是在理論部分概括性地描述了文中將涉及的主要概念,然後在馬克威茨資產選擇理論基礎上勾勒出capm的輪廓,並在原理上討論了實證研究的基本思路。
  14. In the choice of basic asset of cross - border securitization, we can consider in several aspects such as collateralized loan obligations, mortgage - backed securitization, basic infrastructure charge, trade credit and so on

    在跨國證券化的基礎資產選擇上,主要可以從工商業貸款、住房貸款、基礎設施收費和貿易應收款等方面考慮著手進行。
  15. Chapter i initially sets forth the conception and characteristic of mbs, and the development history of asset securitization. as to the application of asset securitization in china, this article studies how to choose suitable assets

    第一章首先闡述了住房抵押貸款證券化的涵義、特點和證券化發展歷史,進一步研究我國證券化的資產選擇,最後闡明mbs對我國的現實意義。
  16. Subsequently on the foundation of comparing the superiority and inferiority of all alternative modes in our country, referencing successful experience of credit asset securitization in developed country, combining economy and finance developing reality of our country at present, it obtains most suitable mode of choosing basic asset of credit asset securitization in our country

    隨后在綜合比較我國信貸證券化基礎資產選擇的各可模式優劣勢的基礎上,借鑒發達國家信貸證券化的成功經驗,並結合我國當前經濟、金融發展實際,得出最適合我國信貸證券化基礎資產選擇的具體模式。
  17. It can vitalize and flow the slow asset, but can not vitalize the low quality asset. so the key to the question is the choice to the slow asset and the way of securitization. on chapter 8, the mortgage - backed securities ( mbs ) is considered

    該章指出我國應當實現不良信貸證券化,但是證券化在處理不良方面僅可以起到有限的作用,可以用來盤活流動差的,但不是用來盤活質量低劣的,因此問題的關鍵是不良證券化的資產選擇和證券化的方式及信用擔保方式。
  18. The thesis considers the alternative modes of choosing basic asset of credit asset securitization in our country at present concluding securitization mode of housing mortgage loan, infrastructure project loan and non - performing loan, then makes an in - depth analysis on four aspects, i. e. stock scale, cash flow, being reorganized or not, clarity of credit grade, and summarizes the superiority and inferiority of all alternative modes on the basis

    文章認為當前我國信貸證券化基礎資產選擇的可模式包括住房抵押貸款證券化模式、基礎設施項目貸款證券化模式、不良貸款證券化模式,並從存量規模、現金流、可重組性、信用等級明確性四個方面進行深入分析,在此基礎上總結出各可模式的優劣勢。
  19. This thesis regards choice mode of basic asset of credit asset securitization as study entry, using the relevant principles in disciplines such as economics, finances, investments, financial engineering, theory of probability and mathematical statistic and commercial bank management, etc., drawing lessons from analysis tools and research methods of predecessors, through summarizing relevant concepts and principles, earning and risk of credit asset securitization, outlines a general definition of credit asset securitization and draws importance of choosing basic asset of credit asset securitization on this basis

    本文將信貸證券化基礎模式作為研究切入點,運用經濟學、金融學、投學、金融工程學、概率論與數理統計和商業銀行管理等學科的相關原理,並借鑒前人的一些分析工具和研究方法,通過對信貸證券化的相關概念及原理、收益與風險的分析,對信貸證券化作一個總的界定,並在此基礎上引出信貸證券化基礎資產選擇的重要性。
  20. In the process of the fdi, it depends on the technology transaction efficiency of the static enterprise ' s cooperative effect and transactions efficiency of property in the market when investors consider an entry mode ( including greenfield investment and m & a ) to different centuries

    在對外直接投過程中,投何種方式(綠地投或是跨國並購)進入不同的國家受到靜態企業協同效應的技術交易效率和市場中的權交易效率的影響。
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