資金理論 的英文怎麼說
中文拼音 [zījīnlǐlún]
資金理論
英文
fund theory- 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...
- 理 : Ⅰ名詞1 (物質組織的條紋) texture; grain (in wood skin etc ) 2 (道理;事理) reason; logic; tru...
- 論 : 論名詞(記錄孔子及其門徒的言行的「論語」) the analects of confucius
- 資金 : fund; capital
- 理論 : theory
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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。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
論文對現代資產組合理論與傳統資產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? ?方差理論從資產組合風險分散效應和最優資產組合選擇兩方面進行了重點分析,對資本資產定價模型、因素模型、套利定價理論進行了一定深度的分析和研究,對現代資產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資本資產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資產組合理論在我國的研究及其應用的廣闊前景。Then, based on lemons model, the paper analyses the market conductibility of the alteration of financing capital ' s use
然後,在阿克勞夫模型的基礎上,對上市公司變更募集資金投向的市場傳導效應進行了理論分析。Secondly, the paper brings out problems which are need to be solved as emphases by analyzing objectively the plant ' s cost control actuality, the existing problems and its reasons. the analysis indicates that because of high dependence on planned economy, exterior factors seriously restricting the reasonable price of fuel, the electrovalence being made by exterior, the deficiency of its interior mechanism and the big random of cost control, the enthusiasm that the plant manages and controls cost independently is badly hurt. thirdly, aiming at these leading problems, applying the present cost control theory and the main cost control methods of electricity enterprises both home and abroad, the paper designs and evaluates its cost control project at these aspects of productive technology, management, logistic control, financial management and the manpower cost, and lodges corresponding cost control project of every tache
論文首先對當今國內外成本控制理論研究現狀和應用現狀進行了分析,包括成本性態分析、成本控制內容分析及成本控製程序與方法的分析,為論文研究打好了理論基礎;其次客觀全面地分析了永昌電廠成本控制的現狀和存在問題及其產生原因,其中包括計劃經濟色彩濃厚、外部因素嚴重製約燃料成本的合理配比、電價確定權在外,它嚴重挫傷企業成本管理與控制的自主積極性,也包括企業內部機制不全、成本控制的隨意性大等問題,這為本論文提出了需要重點解決的問題;然後針對永昌電廠在成本控制方面存在的主要問題,應用當今國內外成本控制的主要理論和發電企業成本控制主要方法,從生產技術、生產管理、物流控制、資金管理及人工成本等方面對永昌電廠成本控制方案進行了相對全面的設計和評價,提出相關環節的成本控制方案。Being an insurance of finical running intensive management, it is excogitated from three aspects, namely : achievement of financial business unity, focus on systemic budget, apply fund motive management
作為財務實施集中式管理實施的保障,論文從實現財務業務一體化、狠抓全面預算、實施資金動態管理三個方面進行了設計。Economists in west thought that annuity should be managed and operated by government, because of the externalism, and discussed the method of finance in terms of the effects on society and economy
而其他的國外學者也認為由於社會保險的外部性和公共產品特徵,養老資金應該由政府來管理運作,並從對社會經濟影響的角度討論了籌資方式的選擇。Not only the general theories of economic regulations but also the general theories of the financial regulations can construe the regulative theoretical basis of the foreign banks. these include natural monopoly, externalism, information insufficient and the short - term and speculative market behavior
不僅經濟管制的一般理論是解釋外資銀行監管的基本理論,而且金融監管的一般理論也同樣是我們理解外資銀行監管的理論依據,主要包括自然壟斷、外部效應、信息不充分和市場行為的短期性和投機性。In the corporate spirit of collaboration, factualism, initiative and innovation and under the guidance of modern marketing philosophy, we employ advanced enterprise management practices and solid strengths in funds and technology to develop the fine processing of aquatic products and maintain the good reputation of our leading products in the international market
我們以「協作、求實、進取、創新」為企業精神,以現代營銷理論為指導,運用先進的企業管理模式和雄厚的資金及技術力量,不僅使水產品的精深加工得以大力發展,也使公司的龍頭產品在國際市場上永遠保持良好的聲譽。Markowitz portfolio theory has become the footstone of modem finance theory
摘要馬柯維茨的投資組合理論奠定了現代金融理論的基石。The mineralization theories related to the continued resources exploration of the crisis mines include : the model of golden deposits in greenstone belts ; the superimposed model of epithermal deposits and porphyry deposits ; the prospecting model of superfine dip gold deposit in deep ; prospecting model of copper and nickel sulfides in deep ; the associated model of lead, zinc and gold
與危機礦山接替資源找礦勘查有關的成礦理論包括:綠巖帶金礦新模式,淺成熱液和斑巖銅礦的套疊模式,微細浸染型金礦深部找礦模式,銅鎳硫化物深部找礦模式,金和鉛鋅礦共伴生模式等。Under the certain onditions, as well as through the positive research on chang ' an auto co. ltd., the hsory was testified its guidable meaning on the fund administration in practice
另外,本文通過對長安集團貨幣資金管理的實證研究,證明本文的貨幣資金管理理論對企業貨幣資金管理實踐有一定的指導意義。As the deepening of soe reform and the aggravation rubing among new institution and old institution, the enormous function of the small and medium - sized enterprise is paid attention to by personages of various circles day by day. the embarrassment of the small and medium - sized enterprise. especially his finance difficulty, come into being the focus. at present, the study on question of small and medium - sized enterprise in the theory circle is ma inly concentrated on the following : the first, discussion of the importance of small and medium - sized enterprise ; second, management of small and medium - sized enterprise. especially the finance difficulty ; the third, to the reference of experience outside the country ; fourth, combining our country national conditions people discuss the particularity of ways of finance the enterprise
目前,理論界對中小企業問題的研究主要集中在以下幾個方面:第一、對中小企業重要性的探討(如吳敬璉, 1999 ;董輔仁, 1999 ) ;第二、對中小企業經營困難,尤其融資難問題的理論探討和政策建議(如樊綱, 1999 ;鐘朋榮, 1999 ;賀力平, 1999 ;如國家計委財金司調查組, 1998 ;國務院發展研究中心中小企業發展對策研究課題組, 1999 ;郝雁、游淑瓊, 1999 ) ;第三、對國外經驗的借鑒(如裘元倫, 1998 ;姜勝利, 1999 ;柳紅, 1999a , 1999b ) ;第四、結合我國國情探討我國中小企業融資方式的特殊性(林毅夫、李永軍, 2000 ) 。There have several theories about it such as hypothesis of risk and efficiency, hypothesis of supply and demand of system transformation, hypothesis of asset specificity, which form the fundamentals for t he se lection
其中最主要和最有影響的理論有風險效率假說、制度變遷供求假說和資產專用性假說,它們為金融業經營體制的選擇提供了理論支撐。Theories on bond pricing include classical interest rate theory, liquidity preference theory, loanable fund theory and reasonable expectation theory
摘要債券價格的決定理論主要有古典利率理論、流動偏好理論、可貸資金理論和理性預期理論。Relevant theories of classical economics include adam smith ’ s viewpoint about capital and harrod - domar growth model. relevant theories of development economics include r. nurkse ’ s theory of vicious circle of poverty, w. w. rostow ’ s theory of the stages of economic growth, lewis - fei - ranis model, and nalson ’ s theory of low - level equilibrium trap. financial theories on development include goldsmith ’ s theory of financial structure, and mckinnon & shaw ’ s theory of financial deepening
古典經濟學的相關理論主要包括亞當?斯密的資本理論和哈羅德-多馬增長模型;發展經濟學的相關理論主要包括納克斯的「貧困惡性循環」理論、羅斯托的經濟增長階段理論、劉易斯的二元經濟理論和納爾遜的「低水平的均衡陷阱」論;金融發展理論主要包括戈德史密斯的金融結構論以及麥金農和肖的金融深化論。After that, in chapter three theoretical analysis of the function of bank control is done. basing marxism financial capita theory financial intermediary theory financial restrain, financial institution control theory, the basis of bank control, i demonstrate that bank has strong control function. this presents the theoretical evidences for my work
第三章,從理論上對銀行控制機制進行了分析,主要從馬克思主義者的金融資本理論、金融中介理論、金融約束理論、金融機構控制論、銀行控制的權力基礎等方面論證了銀行有較強的控制功能,為分析銀行在公司治理結構中的作用提供有力的理論基礎。Study work mainly is : part one, look back and look ahead the financial development history and present situation that derives market and the futuristic tendency, summarize domestic and international theory and method about venture capital investment, discuss establishment and develop the financial necessariness and important meaning of our country that derives market ; part two, establishthe relation between investment risk and the radom expectation effectiveness of investor ? verage stochastic dominance of asset profit ; part three, covari - ance matrix in mean - variance model is analysed with sensitivity analysis and fuzzy analysis ; part four, have looked back the concept of option, the price relation of option and black - scholes option price formula, have put forward option price formula of the discounted value of option present value ; part five, have looked back the financial concept and its classfication that financial derivatives risk, have summarized financial risk management theory, measured and assessed methods of financial derivatives risk
主要研究工作為:第一章,回顧和展望金融衍生市場的發展歷史、現狀和未來,綜述國內外關于風險投資的理論與方法,論述建立和發展我國金融衍生市場的必要性及重要意義;第二章,建立投資者的隨機期望效用與投資風險之間的關系? ?平均隨機占優;第三章,均值方差模型協方差矩陣的靈敏度分析與模糊分析;第四章,回顧了期權的概念、期權的價格關系和black - scholes期權定價公式,提出了歐式看漲期權價格的折現值所滿足的微分方程;第五章,回顧了金融衍生品風險的概念及其分類,總結了金融衍生品的風險管理理論和金融衍生品風險計量和評估方法。Then the conclusion is made that its origin is the establishment of regional consciousness. by means of the comprehensive analysis on the theory of financial resource, the theory of regional finance, the theory of economic regional movement and the theory of financial geography, the author settles that the basic thinking track is to follow the relation of financial movement and regional space
其次對金融地域運動思想的形成軌跡進行闡述,認為其思想之源始於區域意識的建立,通過對金融資源理論、區域金融理論、經濟地域運動理論、金融地理理論的全面透析,堅定了遵循「金融運動與地域空間關系」的基本思維路徑。First, the author in the paper divides the bank - enterprise into three parts, namely finance agency, the activating theory of bank - firm, and does hackling observation and value work. he researches the relation of bank - firm in the condition of market - directed economy
本文作者首先把銀企關系理論分為「金融中介理論、銀企關系互動理論、金融資本理論」三個部分,進行較系統的梳理及進行簡要評述;以此作為銀企關系的理論基礎來研究市場經濟條件下的銀企關系。The equity finance and firm mechanism of governance is the central component of modern firm theory, and it is an important subject of the capital theory of the finance too
股權融資與企業治理機制研究是現代企業理論核心的組成部分,也是金融學資本理論研究的重要課題。分享友人