資金流動分析 的英文怎麼說
中文拼音 [zījīnliúdòngfēnxī]
資金流動分析
英文
cash flow analysis- 資 : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
- 金 : 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...
- 流 : 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...
- 分 : 分Ⅰ名詞1. (成分) component 2. (職責和權利的限度) what is within one's duty or rights Ⅱ同 「份」Ⅲ動詞[書面語] (料想) judge
- 析 : Ⅰ動詞1. (分開; 散開) divide; separate 2. (分析) analyse; dissect; resolve Ⅱ名詞(姓氏) a surname
- 資金 : fund; capital
- 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
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The main work of article is calculating and analyzing the dcr of the financing of " non - addictive anodyne epibatidiue " & " timozuoan " roject with the employment of the financial report and the materials of this line and the analysis of project ' s currency flow, and employing popular project financing theory and methods in the concrete activities of project financing
本文研究進行的主要工作是:通過運用zk藥業公司財務報表及行業資料,結合項目現金流量分析,對項目「非成癮性鎮痛藥epibatidiue 」和項目「替莫唑胺」的dcr進行計算及分析,綜合性地將一些現行的項目融資理論及方法運用於具體的項目融資活動中。We model a market populated by two groups of traders : informed traders and uninformed traders with regulated capital fund
摘要通過建模分析了信息效率、資金流動管制和市場波動之間的關系。Analysis of capital flowing ration of chinese stock market
我國股市資金流動速度分析For the case of the north china power grid ( as follower omitted " ncpg " ), discusses these focus question as " ncpg fund dispatching ", " ncpg e - bank ", provides conflict settlement to fund budget and center control by new financial method, computer and internet high - tech skill. the thesis suggests do fund control in all directions, link invest - collect flow with financial fund management together, all fund affairs relatively included in " ncpg fund dispatching ". as a goal, thesis hopes to make fund flow, mass flow and information flow as a line, control fund real time, and realize the enterprise resource planning
文章針對電網的特徵和區域電力公司財務管理體制特點,對電網經營企業的投資管理和籌資管理作了較為詳細的回顧和分析,並結合當前資金管理中的「現金調度」 、 「網上銀行」等熱點話題,以華北電力集團公司為例進行了案例分析,對電網經營企業強化現金調度管理,積極穩妥地開展「網上銀行」業務,提出了思路和建議,初步解決了實際工作中電網經營企業資金集中管理的矛盾;同時,還大力倡導以金融手段創新推動和促進企業資金管理創新,提出了運用計算機、網路等高科技手段,開展資金管理的橫向和縱向調度,把投資、籌資等與資金管理相關的業務環節,納入到資金的綜合調度中來,逐步達到資金流、物流、信息流三流合一,實現資金的實時管理,從而使企業內部資源共享,實現企業資源優化。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;然後運用一個有代表性的第三代貨幣危機模型? ? 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,比較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。The whole dissertation can be divided into 9 chapters, which are mainly engaged on the comparative theories of the common balance and the partial balance, and the methodology of the demonstration and criterion economics to do the analysis and res earch on the purpose of making relatively thorough and deep assessment on the policy - making and related improvement suggestions on such areas as the implement performance of the agriculture policies, the requirement structure of agriculture, the structure of employment, the basic elements and arrangement of agriculture production, the sustainable development of agriculture and the agriculture internationalization etc. the basic innovative points of the dissertation are as follows : ( 1 ) to establish a systematic framework for the research on the policies of agriculture industry and the structure of agriculture industry ; the framework for grand agriculture industry structure ; the framework of subject relationship in the agriculture socialized service system ; the circulation framework of sustainable development for agriculture ; the model framework for corporation development for agriculture institution ; ( 2 ) to expand the external scope of the concept of agriculture ; ( 3 ) to put forward the ideas of the corporation orientation by restructuring and innovating the present agriculture operational institution ; ( 4 ) to raise the viewpoints to set up the quality standard system for agriculture produce and to initiate the same system of the internal and external trade ; ( 5 ) to offer the suggestions on guiding the development of the township and private enterprises through the industry policies ; ( 6 ) to raise the innovative viewpoint by way of the systematic analysis on agriculture and the employment structure of the countryside, the district arrangement, technological innovation and the marketing system of agriculture produce ; ( 7 ) to put forward the comprehensive thinking way to broaden the logistics services for agriculture produce ; ( 8 ) to raise the new idea of the agriculture supporting system and the policy suggestions on expanding the areas for the government to support agriculture industry, reorganization of agriculture insurance system and aid to the weak masses of the countryside
本課題是在國家農業產業政策不斷完善和產業經濟學科科學發展的背景下,從農業產業政策的實踐出發,從大農業產業結構、組織、技術、資金、勞動力、土地等資源配置以及區域布局、國內外關聯等角度,以農業產業政策與農業發展的互動關系為切入點,提出了農業產業政策調整取向,初步形成和發展了政策理論。全文共分9章,主要運用一般均衡和局部均衡比較等理論,實證、規范經濟學研究等方法進行探討,對農業產業政策實施績效、農村需求結構、就業結構、農業生產要素和布局、農業可持續發展、農業國際化等命題以及對策建議作了比較全面深入的評析。本課題研究主要有以下創新觀點:初步搭建了農業產業政策和結構理論框架,設計了政策和結構體系圖;延伸了「農業」概念外延,提出了「大農業」的構想;提出了農業產業經營組織再造和創新的公司化發展方向,設置了農業產業化、公司化發展模式圖和產業化公司模型圖;設計了農業可持續發展良性循環圖和農業資金投入效益模型圖;提出了建立農產品質量標準體系、推行內外貿一體制的觀點;建立了農業保障體系參照圖,建議通過產業政策引導鄉鎮、私營企業和「三資」企業發展;剖析農村勞動力就業結構、區域布局、科技創新、農產品市場體系;提出了加大農產品物流配送的整體思路;提出了農業支撐體系新觀念及擴大政府支農范圍、重構農業保險體系、扶持弱勢群體的政策建議。In face of the challenges of the quicker paces in the financial capital globalization and the opening process of china ' s financial market after the entry into wto, china should attach great importance to the problem of financial safety. but there is n ' t a systemic analysis in the existing literature on the subject
本文從金融資本全球化的核心視角出發,以金融資本流動效應為研究對象,對資本流動與金融危機的關系以及資本流動與資本控制的選擇和中國金融安全問題進行了較為深入的分析研究。Chapter 1, the paper presents some basic theories about liquidity risk management of the open - ended fund, mainly to open - ended fund and specialty management in the liquidity risk of the open - ended fund
本文首先分析了影響開放式基金流動性風險的幾個主要方面,包括持有人結構的問題、基金投資對象的限制以及開放式基金贖回風險的問題。In this article we make a survey on financial security degree of capital movement in china, which rests on probability analytic method in the economic security research and carries on several capital movement index commonly used in foreign
摘要本文採用經濟安全研究中的概率分析法,並運用國際通用的資本流動指標對我國資本流動的金融安全程度進行了整體測算,結果是一方面, 1995 - 2004年我國資本流動的金融安全度較好,狀態界定為基本安全;另一方面,資本流動運行中也存在潛在的金融安全問題。Using the theories of portfolio and the krugman ’ s ” trilemma ", this paper analyzes the relationship of the internationalization of securities market and the financial risks. then this paper shows the necessary preconditions to the internationalization of securities market
本文藉助國際資本流動理論中的資產組合理論和克魯格曼的「三元悖論」分析了證券市場國際化與金融風險的關聯性,並指出了證券市場國際化必備的前提條件。Then the origin for the liquidity risk of open - end mutual funds is provided through the comparison between the open - end and close - end mutual fund. an overview of china mutual fund industry is presented. further, a comprehensive analysis of factors those affect the liquidity risk is conducted
進而對影響開放式基金流動性風險的因素進行了深入的分析,進一步結合我國證券市場以及證券投資基金業的特點,總結出我國開放式基金流動性風險的特殊之處。The paper falls into four sections : the first section analyses the actuality. first of all, the paper reviews the history of china ’ s utilization of foreign capital for five parts, including take - off phase, sustainable development phase, high speed development phase, debugging phase and restore expansionary phase. and then analyses the variances in mode, scale, industry and distribution of china ’ s utilization of
通過對金融全球化背景及國際資本流動趨勢進行分析,運用國際直接投資理論、國際金融學及現代管理知識,採用定量分析與定性分析相結合的方法,針對中國利用外商直接投資存在的主要問題,從利用外資所處發展階段出發,討論了利用外商直接投資的質量、規模、結構、方式和外資政策,提出了一系列現實可行的對策和建議。In order to protect from the negative impact of capital inflows on domestic economy and financial system, the government should adopt effective measures. this paper chooses the southeast asian countries before the financial crisis as research objective. it will tell us the effect of capital flows on the economic stability, the macroeconomic policies to stabilize the economy and give a comment on the policies after analyzing the experience of southeast asian countries. in the end the paper will make some conclusion
本文正是要從政府政策的角度分析在東南亞金融危機前10年的這段時間,國際資本流動對東南亞經濟穩定的影響,從國際資本流入對宏觀經濟穩定產生沖擊的傳導路徑出發,分析針對傳導路徑的不同環節可以選擇的相應得穩定性宏觀經濟政策,並結合東南亞國家的實際情況,對政策效果進行評述,從而得出宏觀政策方面的一些啟示。The analysis indicated some autonomous net outflow of capital, financed in part by the current account surplus
分析指出香港錄得一些資金自動流出凈額,而部分資金是源自往來帳的盈餘額。Third, this paper analyzed prevailing organization structure of enterprise, material flow and money flow procedure, and compared the advanced distribution system of internal basal retailing unit with the distribution system of abroad refined petroleum product retailing terminal on labor, management system, incentive and distribution system
然後較為全面地分析了企業現行的組織機構,物流、資金流程序,從勞動用工、管理體制、激勵分配機制等諸方面選取企業內部較先進的基層零售單位分配辦法與國外成品油終端銷售的分配製度予以比較。Cross - border fund flows and hong kong banks external transactions vis - vis mainland china
從銀行數據分析香港與中國內地之間的資金流動Chapter five makes a full analysis of the market risk and the transition ( or contagion ) of market risks resulting from the short - term capital movement. in addition, this chapter also examines the mechanism of speculation on market
第五章從金融危機理論的角度分析了國際短期資本流動所導致的市場風險和市場風險的傳導,從實證角度考察了國際短期資本流動對市場沖擊的模式和運作機制,深化了對「傳染」現象的認識。Based on such starting - point, the dissertation makes a systemic analysis on the new features of international short - term capital movement against the background of globalization of finance, clearly points out that the intrinsic instability of the short - term capital movement could escalate into abnormal system risk, which could result in financial crises if combined with the intrinsic vulnerability of financial system of the emerging markets
本文以此為出發點,系統分析了金融全球化背景下國際短期資本流動發生的一系列新變化,鮮明地指出國際短期資本流動在金融全球化背景下其內在的不穩定性可能上升為非正常的系統性風險,在一定的條件下同新興市場國家經濟金融體系的內在脆弱性結合,必然引發金融危機。Chapter two makes a full review of the features of international short - term capital movement against globalization of finance, establishes a generally analytical framework, of which the main point is about the speculative feature of short - term capital movement. chapter three demonstrates the relationship between the short - term capital movement and macroeconomic policies
第二章從金融全球化這一大背景出發,全面論述了國際短期資本流動的一系列新特徵,構建了國際短期資本流動風險分析的總體框架,其中著重強調了國際短期資本流動投機性特徵同系統風險的關系。Liquidity risk of oef is defined as the risk that an investor will not be able to buy or sell an investment quickly because buying and selling opportunities are limited. besides, the paper presents some relevant theories about oef liquidity risk management. section one of chapter 2 analyzes the mechanism of how to induce
接著在第二節中,闡述了證券投資基金由封閉式逐漸向開放式轉變的趨勢,進而通過比較開放式基金和封閉式基金的概念,分析了開放式基金的特點、分類等,重點說明了因為開放式基金獨特的贖回機制,導致了開放式基金流動性風險的產生。分享友人