金融固定資產 的英文怎麼說

中文拼音 [jīnróngdìngchǎn]
金融固定資產 英文
financial fixed assets
  • : 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...
  • : Ⅰ動詞1 (融化) melt; thaw 2 (融合; 調和) blend; fuse; be in harmony Ⅱ形容詞[書面語]1 (長遠; ...
  • : Ⅰ形容詞(結實; 牢固; 堅硬) firm; hard; solid Ⅱ副詞1 (堅決地; 堅定地) firmly; resolutely 2 [書...
  • : Ⅰ形容詞1 (平靜; 穩定) calm; stable 2 (已經確定的; 不改變的) fixed; settled; established Ⅱ動詞...
  • : 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...
  • 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
  • 資產 : 1. (財產) property; means 2. (資金) capital fund; capital3. [經] (資金的運用情況) assets
  1. As the result of financial system innovation, venture capital has it " s unique characteristic : it is cultivable investment rather than industrial investment and it ' s profit comes from transferring stock of high - tech enterprise rather than investment of fixed capital and floating capital

    作為世界經濟轉型期體制創新這一內在動力作用的結果,風險投有其獨具的特點:風險投是培育性投而不是業化投,其獲得的利潤來源於對高新技術企業投股權的轉讓所得到的本收益而不是某個品規模化生階段的和流動的投
  2. As a developing country in the process of transmission, we suggest that china select a synthetical method to finance annuity, including the social insurance tax, pension bond, social insurance lottery, treasury compensation and selling national assets, etc. at the same time, in the aspect of operation, we combines fixed assets investment, company and financial investment, stock investment and commerce credit to decrease risk and increase the value of annuity

    本文認為作為轉軌過程中的發展中國家,中國養老方式的選擇應綜合利用社會保障稅、養老保障國債、社會保障彩票、財政補貼和國有變現等方法,同時在運營方面要將、企業與債券投、股市投、商業信用等方法結合起來使用,以降低風險,確保增值。
  3. In the new paper i recently wrote on asian learning the wrong lessons from its 1997 - 98 crisis i argued that policies of fixed exchange rates in china and other asian countries are leading to excessive forex reserve accumulation that, being only partially sterilized, leads to excessive monetary and credit creation that, in turn, causes dangerous investment bubbles and asset price bubbles

    在這篇文章中我談到亞洲開始從97 - 98的風暴中學到教訓,並且我認為匯率制才是中國及其亞洲鄰邦的超額外匯儲備之首要原因:盡管屏蔽了小部分影響,匯率還是使得她們國內市場流通貨幣量與信貸過多,這又造成了投泡沫和價格泡沫的隱患。
  4. We give research into the relationship of the chinese sector distribution of capital and financial development and discuss the sector difference from fixed asset invest and bank loan. finally, we draw a conclusion that illogical system of financial development leads " sector discrimination of capital " although the development of financial structure positively effects the sector distribution of capital in some degree. so this thesis advises that china should make financial development " essential ", so it is vital to keep the government rational in the process of financial development

    文章還以分部門理論模型為指導,以本在國有部門和非國有部門的分配為研究對象,分析了結構安排與本分配「部門歧視」之間的關系,探討了深化對和貸款分配的部門差別,得出結構發展是影響我國本部門分配最重要因素的基本結論,藉此提出發展「實質化」是解決我國發展的關鍵問題。
  5. It makes use of five aspects to prove the present condition of the unbalanced distribution. these five aspects include the surplus amount of bank savings, loan, the amount of the listed company and its raising capital, the amount of the fixed assets investment and foreign capital

    從我國機構存、貸款余額、上市公司數與籌集額、額、利用外額這五個方面來具體說明區域貨幣分佈不均衡的狀況。
  6. The tmf has also worked on other issues to facilitate market development. examples include the ndf documentation for asian currencies, promotion of overnight index swaps and constant maturity swaps, review of electronic prime broking system, and work on standard documentation in chinese for use by mainland and other customers who prefer to use their mother tongue as the working language in financial transactions

    香港財市場發展委員會亦曾在其他范疇進行工作,以促進市場發展,例如亞洲貨幣不交收遠期合約的標準文件推廣隔夜指數掉期及期限掉期等品檢討電子經紀系統,以及發展標準中文文本
  7. A long - term balance is noted among the chinese bond prices and fixed - asset investment, net export, commodity price index, monetary supply, bank loans and foreign exchange reserves

    我國債券市場價格與、凈出口、物價指數、貨幣供應量、機構存貸款和外匯儲備存在長期均衡關系。
  8. The professionals of ours have successfully arranged over $ 1. 5 billion in financing including : senior secured debt, unsecured debt, equipment leasing, mezzanine financing, private institutional equity, etc

    15億的包括:高級擔保之債、非擔保之債、契約、夾層本、私有機構股份。
  9. For the sale of a financial asset with a repurchase agreement, if the asset to be repurchased by the transferor is identical with or substantially identical with the sold financial asset, and if the repurchase price is fixed or is the original sales price plus a reasonable return, the sold financial asset shall not be stopped to recognize, for example, selling any bonds through a buyout repo or a pledged repo transaction

    (一)在附回購協議的出售中,轉出方將予回購的與售出的相同或實質上相同、回購價格或是原售價加上合理回報的,不應當終止確認所出售的,如採用買斷式回購、質押式回購交易賣出債券等。
  10. The paper introduces the fundamental of tot - bot first, and then does the feasibility of the model to a nalyze wnether it could be used in shaanxi road project ; furthermore, the primary study on the risk management of the model is done. finally, the paper draws the following conclusions : 1 ) the combined model has the advantages of both tot and bot, it can not only activate the fixed assets but also promote the finance of intent projects ; 2 ) faced with the problems of capital shortage and simplified finance model, shaanxi province has a increasing invest demand in the road construction area. it is confirmed that the application of the model tot - bot is feasible to the road construction project of shaanxi by analysis ; 3 ) in the market risk evaluation of the road project, to introduce bayesian theory is both scientific and feasible, which is applied to the risk evaluation of the traffic prediction

    論文首先論述了tot - bot模式的基本理論,並對陜西省公項路項目採用tot - bot方式建設的可行性進行了分析,初步探討了採用tot - bot方式建設的模式設計與風險研究,並得出以下結論: ( 1 ) tot與bot結合而以bot為主的模式tot - bot ,兼備了兩種方式的優點,既盤活了又促進了政府待建項目的; ( 2 )當前陜西省公路建設項目投需求大,同時又面臨不足而渠道單一等問題,通過分析認為嘗試將tot - bot項目方式應用於陜西省公路建設項目是可行的; ( 3 )在公路項目採用tot - bot方式建設的市場風險評價中,採用貝葉斯推斷理論來對交通量預測的風險進行評價是科學的、可行的。
  11. Main argument is the choice of the " bank - dominating " or " market - dominating " financial system. the study way of this paper is thatmainly from perspective of the " money - - output ", " bank and the stock market - - output growth " and " banks and the stock market - - output volatility ", buildthe empirical testing model on the past statistical data of china, and make theconclusions, suggestion and reasonable explanations through the analysis ofthe results. the structure of this paper is as follows : part, make research on the relationship of money and economic output. discuss the basis problems on the money research and money theories

    首先,探討了貨幣研究的基本問題和理論,對貨幣供給量與我國出之間的關系進行了實證研究;其次,對體系的構成與經濟發展的關系進行研究,並對我國體系中的主體,銀行和股票市場與我國經濟增長之間的關系進行了實證研究;最後,針對經濟波動的問題,從體系的波動角度進行解釋,對我國領域中貨幣供給量波動和股票市場波動與我國波動和出波動之間的關系進行實證研究。
  12. In 2004, abs and mbs rated deals totaling $ 1. 7 trillion dollars, which constituted over 7. 5 % of total fixed income market. in the one hand, with the dramatic growth of international commercial trading, foreign currency asset have grown significantly in recent years. beside the simple derivative tools like : option, future, swap, the more effective financial instrument is need to protect against investment risk for foreign currency asset

    廣義上的支持證券包括的種類很多,現在美國大部份的缺乏流動性的都實現了證券化,這種新型的工具已經在國際市場上得到廣泛的應用, 2004年在美國的支持證券和住房貸款抵押支持證券交易總額已經達到3 . 4萬億美元,佔美國收益證券市場的份額為14 . 5 % 。
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