連續投資 的英文怎麼說
中文拼音 [liánxùtóuzī]
連續投資
英文
continuing investment- 連 : Ⅰ動詞1 (連接) link; join; connect 2 (連累) involve (in trouble); implicate 3 [方言] (縫) ...
- 續 : Ⅰ形容詞(連接不斷) continuous; successive Ⅱ動詞1 (接在原有的后頭) continue; extend; join 2 (...
- 資 : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
- 連續 : continuation; succession; series; continuity; continuing; running; continuous; successive; contin...
-
At the same time, the section studies a new amendable method on drawing - up the dynamic extension forms of the motion input - output forms, it discusses the defer problem of input - output analysis too. meanwhile, it points out the fact that motional inut - ouput is a motional problem. however, the authentic economical running which recreates constantly is continual and dynamical, that is to say, it have to think about investing
本章還從靜態投入產出模型入手,研究了利用動態投入產出模型編制投入產出表的一種新修正方法,討論了投入產出分析中時滯問題,並指出,靜態投入產出模型是一個靜態問題,而現實生活中的經濟運行是連續性的,動態的,不斷擴大再生產,也就是需要考慮投資的問題,文中還討論了規劃問題和預測問題的前提條件。We increase return on investment by making continuous flow of value our focus
我們通過製造所關注的價值的連續的流來增加投資回報。2 the aggregate model of life insurance establish an aggregate model of life insurance by applying the alien modernly insurance actuarial theories and techniques, including deferred life annuities, whole life insurance and returnable premiums. the model has the following properties : ( a ) through the regulation of various parameters in the model, various insurance products can be obtained ; ( b ) the introduction of whole life annuities in the model eases economic predicament when the insured retire ; ( c ) a returnable premium part in the model makes the insurance products have double functions of insurance and savings ; ( d ) an endowment insurance actuarial model also can be gotten when annuity is continuous. and construct an optimization model based on aggregate model of life insurance
這個保險精算模型具有如下性質: ( a )保險公司可以根據實際情況調整參數,不同參數的組合可以得到不同的保險產品,靈活適用性較強; ( b )年金的引入,可以緩解投保人退休后的經濟窘境,避免或減小因退休而面臨的經濟影響,保險的社會保障性得到了很好的體現; ( c )模型中的還本部分,使得這種保險產品具有儲蓄和保險的雙重功能,不僅擴大了保險的社會職能,而且對于投保人來說,多了一種安全的投資選擇; ( d )年金連續的情況下,建立了具有儲蓄功能的養老保險精算模型。Based on the analysis of the traditional incentive theory, a conclusion more and more is made that a kind of apparent and continual compensation contract makes a good inspirited effect to the venture investment, and also the capitalist ' s slapdash behavior can be hold back and the ventur investor ' s agent - cost can be reduced
通過對傳統激勵理論的分析,得出這樣結論:制定一種顯性的連續支付模式,對風險投資起著一種極強的激勵作用,可有效防範風險投資家投資的草率行為,並能縮小股資者的代理成本。The improvement plan for the right bank revetment of the first - step stilling basin for the normal spillway of huangbizhuang reservoir is optimized for many times, which has met the requirements to save the investment, shorten the construction period, guarantee the continuity of the boundary and satisfy the operation of the project at last
摘要黃壁莊水庫正常溢洪道一級消力池右岸躺坡改建方案經過多次優化,達到了節約投資、縮短工程工期,保證了邊界的連續性,滿足工程運用要求。In order to maintain sustainable development for the non - governmental colleges, the author puts forward that eight relationships must be well dealt with : profit for investment and non - profit education, enterprises " economic benefits and outstanding personnel from colleges and universities, self - determination for policy - making and restrictions for the power, working efficiency and codes of condu ct, temporary working periods for teachers and continuum of educational implementation, specialty setting on the market basis and characteristics for running colleges, advanced ideas of the reform and rationality for the implementation of the reform
文章最為大量的篇幅在於闡述民辦高校要想走上可持續發展的道路,必須處理好的幾個關系,即投資的營利性與教育的公益性、企業的經濟效益與高校人才精神、決策的自主性與權力的受制約性、辦事的效率與行事的規范、教師工作任期的臨時性與教育實施的連續性、專業建設的市場化與辦學特色化、改革構想的先進性與改革實施的合理性等八方面的關系。It has been proved from the demand of china ' s telecommunications market, with annual fixed capitsl investment of 25 billion us dollars, the numbers of desk phone, cell phone and internet users has topped 400 million, 350 million and 110 million respectively
比如,中國通信固定資產投資連續多年保持在250億美元左右,拉動了通信市場需求,目前中國移動電話用戶已超過4億,固定電話用戶超過3 . 5億,網際網路用戶超過了1 . 1億。The arithmetic mean expectation model is not able to measure the income of portfolio investment correctly as bonds are a kind of successive investment, but the geometric average expectation can measure the income of successive investment
摘要由於證券是一種連續投資,算術平均收益率並不能完全反映投資的收益情況,而幾何平均期望收益率才能反映連續投資的實際收益。If it has not bad influences on completeness , continuity and reliability, process procedures will be simplified to enhance production management, reduce troubles and lower investment
2在保證生產線的完整性、生產的連續性和可靠性的前提下,力求簡化生產工藝流程,以便於生產管理,減少生產事故點,降低投資。The continuos viscose filament is a big project which we have thought for quiet a long time. we will apply for the nation loan and depend on the original dope plant and acid station for rebuilding. but the spinning part will renewed
最後在投資估算和經濟分析部分,對年產5000噸粘膠長絲連續紡工程的各個項目進行投資估算、財務盈利能力分析、財務不確定性分析。The specialty and innovation of this paper lies in : l. the main method is quantitative resolution and analysis, the supplemental method is qualitative analysis and theoretic expatiation, and the process of demonstrate and result is much definitive ; 2. the conception of successive industry investment was set forth, and the model of investment portion was set up ; 3. 1 have built the index system of investment structure of regional industry ; moreover, i have used three synthetic evaluated models to contrast the effort
以數量解析和定量分析為主,以定性分析和理論闡述為輔,論證過程及結果明確; 2建立了區域產業投資結構評價指標體系,並用三種綜合評價模型進行了對比論證分析; 3提出了產業連續投資的概念,建立了投資分配比例模型。Continuous time models for long run portfolios
長期投資組合的連續時間模型After two days of sharp selloffs, daiwan ' s stock market rebounded when the government stepped in to boost market confidence with a nt $ 500 billion national stabilization fund
臺員股市連續大落兩工了后?今阿日小起收盤?受著政府五千億臺票國家安定基金護盤耶關系乎投資者有信心。The company invested seven million rmb and the production mainly is office, classroom, dorm, and hotel furniture. the furniture is devided in twokinds : unapart and take apart. since being put into using, the company hasgained " trustable company " for three years, good service and good quailty, and also gained the " trustable product, satisfying company "
公司投資柒佰多萬元,主要生產辦公傢具系列,學校師生用教室、宿舍傢具、賓館套房、酒店傢具等,分為實木實具和拆裝式傢具兩大類,公司自98年投產以來,連續三年被評為「消費者信得過單位」 ,榮獲產品質量、服務質量「雙優」單位既稱號,榮獲省會市場「產品放心,服務滿意」榮譽稱號。This thesis, taking fund operation as a study object, zeroes on economic situation resulting in the problems of fund operation in life insurance company such as falling interest rate, unripe financial market, irrational macro economic environment, lack of talents, oligopoly in life insurance industry and bad loan in history in life insurance company
長期以來壽險資金的主要運用途徑之一是銀行存款和國債,占總投資資金70左右,銀行存款、國債都是利率敏感性產品。從1996開始我國銀行利率已連續下調8次,一年期利率從10 . 98降到2002年的1 . 98 ,隨著銀行利率的下調,國債利率同步調整,致使壽險資金的利息收入和投資收益大減。Based on the analysis of commercial banks " current concept about fund management, this paper brings forward that fund management is the main - string in its operation, and that the concept of fund management, including security and profitability, is extended from current " forrying fund " to the management of the fund cost and fund risk the paper comprehensively discusses the principle of fund management, the management of fund costs, the tactics of management about fund liquidity, the measures of management about fund risks and how to solve the problems on interest risk in the period of frequent interest fluctuation. the paper puts forward ideas on how to improve the fund management. the security, liquidity and profitability of the fund, which are both contradictory and integrated with one another, are internal factors of fund management. fund liquidity is traditional core question. commercial banks face with a number of risks of witch credit risk is the greatest one because our country has adjusted interest rates 8 times since 1996, which covered a period of frequent interest fluctuation
商業銀行面對許多風險,但最大風險是信用風險。由於我國自1996年以來已連續調整了8次利率,近幾年是利率波動頻繁時期,研究利率的敏感性問題顯得特別重要。要改善資金管理,提高商業銀行的經營水平,就要建立資金管理是商業銀行經營主線的理念,對資金要統一規劃和管理;要改革銀行的體制,建立現代企業制度和法人治理結構,在體制上為資金管理提供有利的運行平臺;增加改善資金流動性管理所需的貨幣政策工具,擴大資金調控手段;打破貨幣市場的僵化局面,為資金管理創造有利的宏觀環境;續續優化負債結構和負債載體設計;增強資金信用風險規避和化解的措施;通過銀行資源整合,努力尋找資金的安全投放渠道,最終完成經營模式由傳統型向現代型的轉變。If above 30 days this investment company possesses continuously in the outside stock net assets value is short in 25, 000, 000 us dollars, either some fund is short in the outside stock ' s net assets value in 15, 000, 000 us dollars, either the board of directors thought that because the economical, political situation ' s change causes the company or the related fund comes under the influence, this company may, in the board of directors thought that in the appropriate situation ahead of time 1 month issues the written notification to all shareholders or some kind of stock ' s shareholder, so that after the notice period had been able to have finished the next fixed price date, will possess before has not redeemed either the transformation stock redeems or the transformation
假如連續30天以上該投資公司所有在外股份的凈資產值少於2500萬美元,或某基金在外股份的凈資產值少於1500萬美元,或董事會認為由於經濟、政治局勢的變化使公司或有關基金受到影響,該公司可以在董事會認為妥當的情況下提前1個月向所有股東或某一類股份的股東發出書面通知,以便在通知期限結束后的下一個定價日,將所有以前沒有贖回或轉換的股份贖回或轉換。In the 3rd section we introduce how to use mathematical model to study financial problems, whose assets running on mixed jump - diffusion process, first we get the famous non - linear feynman - kac formula by fbsde, then let the solution of the bsde be a investor ' s utility function, and it ' s the so - called recurse utility function. second, we can prove that this utility function is a continue viscosity solution of the variation inequality which we get above, and we get the comparison theory. third we can use the result to financial market to study the optimal consumption and portfolio problem or evaluate the american option
第三章介紹了利用金融資產價格運行基於復合跳躍? ?擴散過程的數理模型來研究金融經濟問題,通過結合運用正倒向隨機微分方程,推導得到著名的非線性feynman - - kac公式,並且將相應的倒向隨機微分方程的解記為投資者的值函數,這也就是通常所說的效用值函數;接著我們可以證明此效用值函數為某一偏微積分變差不等式的連續粘性解,並且得到了比較原則;這些結果可以應用到金融領域用於消費投資組合的選擇或是美式期權的估值。In this paper, we primary study two contents : 1 ) the effect of the changes of both the loan interest rate and the defaulting probability of the entrepreneur on the expected profits of the banks when the entrepreneur pursues opportunity benefit under asymmetric information. 2 ) the effect of the change of the loan interest rate on the average successful probability of the project of the entrepreneur when the entrepreneur have multi - continuous projects under asymmetric information
摘要主要研究兩個方面的內容: 1 )不對稱信息條件下,當企業追求機會利益時,貸款利率和企業拖欠還款概率的變化對銀行期望利潤的影響; 2 )當企業具有多個連續投資項目時,在不對稱信息條件下,貸款利率的變化對企業項目平均成功概率的影響。At first, i developed the principle and restrictive factor to optimize the investment structure of regional industry ; secondly, i applied the grey theory to research the relationship between structure of investment and structure of industry, the relationship between structure of industry and economy of region. ; thirdly, three methods, including ahp, principal component analysis and relative potential were exerted to research the order of investment afterward, i developed qualitative analysis to the third industry, and put forward suggest to its progress direction ; fourthly, using economics and operational research ' s thoughtway for reference, i upbuilt the dynamic model of investment portion model. at last, according as the regional concrete situation and market environment of wto transition period, i developed some policy suggests, in order ensuring the optimization of investment structure to be realized successfully
首先,提出了優化區域產業投資結構的原則和制約因素;其次,運用灰色系統理論對區域的產業結構與整體經濟、投資結構與產業結構的關系進行論證分析;第三,建立了區域產業投資結構評價指標體系,並運用ahp法、主成份分析法和相對勢法對河北省第一、第二產業投資排序進行了研究,然後,在充分利用現有數據的前提下對第三產業進行了定性的分析,並對第三產業的發展方向提出了建議;第四,借鑒了經濟學、管理學、運籌學等一些理論的思想方法,建立了區域產業連續投資分配比例模型;最後,根據河北省情,結合中國進入wto的過渡期市場環境,提出了一些政策建議,以達到實現河北省產業投資結構優化的目的。分享友人