金融戰 的英文怎麼說

中文拼音 [jīnróngzhàn]
金融戰 英文
financial war
  • : 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; ...
  • 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
  1. Abstract : after its birth, euro will challenge the heart status of euro - dollar, make the transation in emm more active, promote the union of internation financial markets in europe, stimulate the development of amm, mean while it will also aggravate the competition in emm. whether euro can operate successfully, as people have expected, is restricted by many factiors, such as the coherence and integration of monetary and financial policy, the good situation of economy in euro area, people " s confidence in euro and so on

    文摘:歐元誕生后,會挑歐洲美元的核心地位,會活躍歐洲貨幣市場的交易,促進歐洲地區國際市場的聯合,刺激亞洲貨幣市場的發展,同時也會加劇歐洲貨幣市場的競爭.歐元是否真能如人們所預期的那樣成功,還要受許多因素的制約,如歐元區貨幣政策、財政政策的連續性、統一性,歐元區經濟狀況良好,人們對歐元的信心等因素
  2. In order to solve the difficulty of open market operation ( omo ), greet world economical finance competition and challenge, the people ' s bank of china has been issuing centre bank paper as the tool of omo since 2003, and then omo entered a new stage

    為了更好地改善中國公開市場操作效果,迎接世界性的經濟競爭和挑,中國人民銀行於2003年4月22日正式發行央行票據作為公開市場操作工具,這意味著我國公開市場業務進入了一個新的階段。
  3. 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和質疑背景下提出的行為理論進行了論述,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。
  4. The innovation strategy against financial disintermediation is an integrated system composed of value chain and value triangle innovation, financial products and service innovation, demand strategy innovation and customer developing strategy innovation

    綜合上述觀點,為了應對脫媒,商業銀行應該採取的創新對策是一個完整的體系,由價值鏈價值三角創新,產品、服務創新,需求略創新、客戶開發略創新四個方面所構成。
  5. Nevertheless, with economic integration, economic financialization and financial globalization gradually booming in the world, the rapidly growing and sharply changing financial facts make people acknowledge that finance has not only become a core of economy, but has shifted from a industrial, passive and micro issue to a key, dominative and strategic one for each country or region in its economic, social development and stability around the world as well

    只是伴隨著最近幾十年來經濟全球化、經濟化與全球化浪潮在世界各地的廣泛興起,迅速發展和急劇演變的現實使人們不得不承認,不僅是經濟的核心,而且已從傳統上是一國內部的行業性和被動適應性的局部性微觀問題逐步轉變為全球各民族國家與經濟體經濟與社會發展穩定的核心性、主導性和略性的要素。
  6. To make marketing gambit innovation on that base, the post - savings bank should exploit new financial product priority at intermediary service, personal credit service and particular deposit account service, take advantage of the new internet channel to founded net bank, make internal maketing and customer value management for upraise competitive capability and service level, make alliance strategic to meet the polytropic customer demand

    在此前提下開展營銷策略創新,要注重從中間業務、個人信貸和特色存款業務方面開發新的產品;利用網際網路技術提供的新渠道開辦網上銀行;為提高競爭能力和服務水平進行內部營銷和顧客價值管理;為適應顧客需求的多樣化而進行略聯盟。
  7. In addition, bad loans to state - run enterprises which deficit are common, incomplete bank system and regulation, lacking of credit and law force, composed other critical factors of lowering efficiency on china ' s state - run bank. in the mean time, foreign banks and financial organization are enlarging their scale and business scopes in china. with the advantages on scale, system, management, information processing, policy, they will launch tremendous impact and challenges to chinese counterparts shortly after wto agreement is signed

    而與此同時,進入我國的外資銀行和機構在經營規模和業務范圍上正不斷擴大,並將利用它在規模、體制、管理、信息數據處理和咨洵服務、中間業務、政策法規、用人機制上的優勢,于中國加入wto的今後幾年內對我國銀行業構成全方位的沖擊和挑
  8. At present the finance industrial in china faces great challenges, and the proclamation of basel agreements makes a higher requirement on the capital quality 、 free capital and internal risk controlling

    目前我國業面臨wto的挑, 2001年新的巴塞爾協議出臺,也對銀行的資產質量和自有資本,內部風險控制提出了更高的要求。
  9. Thomson corp. made a bid for reuters group plc to gain aglobalnews service and challenge bloomberg lp, the largest provideroffinancial news and information, according to a personwithknowledge of the offer

    據知情者稱,總部在多倫多的湯姆遜公司已正式向路透財經發出收購建議,目的是擴大公司的全球新聞服務范圍,挑全球最大新聞和資訊供應商彭博公司。
  10. City life combines the fun of a city - building game with the challenge of a financial simulation, though it requires patience and perseverance to master

    《城市生活》將城市建設游戲的趣味性與模擬游戲中的挑為了一體,不過玩轉本作還是需要耐心和恆心的。
  11. They in the finance, the investment, and buy the reorganization, the finance, the law, the industrial research and so on various aspects have the deep theory foundation of basic skillsand the rich actual combat experience

    他們在、投資、並購重組、財務、法律、產業研究等各方面擁有深厚理論功底與豐富實經驗。
  12. Especially the quickly growing up of network economy, information technology, and finance industry challenged the traditional financial report greatly which is characteristic of historical cost principle, realized - matching principle and conservatism principle. all kinds of condemnation flew over like snowflake. it arouses us to think that whether current financial report is losing their prime value and importance gradually or not

    尤其是網路經濟、信息技術、業的迅猛崛起,更使以歷史成本原則、實現?配比原則和穩健原則為特徵的傳統財務報告模式受到了前所未有的挑,各種譴責如雪片般飛來,這不僅我們沉思;現行的財務報表是否正在逐漸失去它們原有的價值和重要性
  13. The dissertation focuses on the theory & mechanism research on life insurers ’ integrated risk management ( irm ). based on the realistic contexts and theoretical foundations of irm, the paper tentatively establishes the theoretical frameworks of value - based irm and sets up an irm model & its extended model with a step - by - step risk integration system including capital risk integration, asset - liability risk integration, strategic & business risk integration, risk management & risk management culture integration. the paper is organized in preface ( contexts analysis ), irm theoretical framework & irm model establishment ( chapter 1 - 3 ), and the model ’ s practical execution ( chapter 4 - 7 )

    論文基於壽險公司整合性風險管理構架進行理論與運行研究,以公司整合性風險管理產生的背景(導論)為起點,以經濟理論、財務理論、風險社會與風險文化理論為理論基礎(第一章) ,建立了基於價值創造的公司整合性風險管理理論體系(第二章) ,建構壽險公司整合性風險管理模型(第三章) ,並對所建模型進行擴展運用,形成了資本風險的整合管理、資產負債風險的整合管理、略風險與經營風險的整合管理、風險管理與風險管理文化的整合管理(第四章至第七章)的遞階式風險整合管理體系。
  14. In fine, we must enhance the own crisis consciousness, and make a point of the district cooperation, like this, the talent is better to cope with the trouble of the 突 hair

    當然,我們認為,世界銀行和國際貨幣基組織等國際組織應適當提高對這些后國家的貸款,以幫助他們盡快擺脫教育危機。
  15. At last, the author discussed the approach of releasing the two types of risk, pointing out that it must be the only outlet to breaking the path dependence effect and pushing the institutional bifurcation. the innovativeness of the dissertation was manifested in the following facets : first, the two heterodox paradigms were concluded after a thorough and systematical retrospect ; second, a brand - new framework was established by embracing the two paradigms ; third, the concepts of risk and financial risk, especially their information and institutional contains, were expatiated under the framework ; fourth, the characteristics of china ' s economic structure and financial structure and their theoretical meanings were well concluded ; fifth, the commercial banking systematical risk and the stock market systematical risk of china were well explored and explained, and some solutions were reached

    文章創新之處主要體現在以下幾點:通過對既有文獻的廣泛深入了解,歸納出兩個可能對主流經濟學形成挑的經濟學研究範式;通過模型化模擬,探討了將兩個範式相互會貫通、從而建立起具有更好解釋能力和預測能力的理論體系的可能;在上述理論體系下對風險與風險進行了經濟理論和經濟史理論層面上的闡釋;以上述闡釋為基礎,對我國經濟結構與結構特點進行了理論歸納,對我國目前的商業銀行系統風險與股票市場系統風險進行了深入剖析,並總結出可行的化解途徑。
  16. On reflection, however, perhaps i should have chosen whether to be a creative type or a financial strategist

    不過細想起來,或許我本應該做出選擇,到底該成為一名創意大師還是金融戰略家。
  17. Participants discussed financial strategies for making and marketing films, investment and risk management, and other business challenges

    與會者討論了電影拍攝和營銷,投資風險管理以及其他商業挑金融戰略。
  18. If it wants to improve the finance environment, the smp has to carry out the strategy of " finance drived by industry ". the author brought forward out there are certain relations between the finance methods and the characteristics of district economic development, expatiated advice to consummate the inside and outside financing environment of smp for the future

    歸納指出,中小民營企業為改變自身資環境,必須實施「產業帶動略,揭示了資方式與各地區經濟發展特點之間的關系,闡述了以產業帶動金融戰略為核心完善中小民營企業內外部資環境的思想。
  19. The author summed up the successful experiences of huang ming group pointed out the mainly problems and advice. in this part, the author advanced four modes which adopted the smps, pointed out the essentiality of consummating the inside environment of corporation and methods, then brought forward the meaning and ways to consummate the inside environment of smp

    這一部分通過介紹和分析皇明集團的概況,皇明集團所處的行業狀況、政府政策導向、皇明的發展過程中成功的經驗和存在的問題,集中闡述了皇明集團的產業帶動金融戰略,提出了可供中小民營企業借鑒的4種資方式。
  20. In the third part ( the fifth chapter ), the author pointed out the important role of government and suggestion improve outside finance environment of smp from legal system, macro - economy environment and medi - sevice system. the finance problem of smp is a fir - new topic, there are strong social meaning and practice value. the author took the huang ming group as example in a creative way, expatiated the relation between the industry and finance, and offered a useful revelation to resolve the finance problem for smp

    西安理工大學工商管理碩士( mba )學位論文中小民營企業資問題還是一個新興的課題,具有很強的社會性和應用性,本文創造性地以皇明為例,通過剖析和研究皇明實施產業帶動金融戰略的成功經驗和存在的問題,闡釋了產業與之間的關系,為解決中小民營企業資問題提供了一種具有借鑒意義的啟示。
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