金融研究所 的英文怎麼說
中文拼音 [jīnróngyánjiūsuǒ]
金融研究所
英文
financial research institute- 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...
- 融 : 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; ...
- 研 : 研同 「硯」
- 究 : Ⅰ動詞(仔細推求; 追查) study carefully; go into; investigate Ⅱ副詞[書面語] (到底; 究竟) actually; really; after all
- 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
- 研究所 : a graduate school
- 研究 : 1. (探求) study; research 2. (考慮或商討) consider; discuss; deliberate
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Trust and fund institution ( tfi ) is a professional research institute affiliated to renmin university of china ( ruc ), functioning as an important limb of financial policy study center ( fpsc ) under fiscal and financial faculty of ruc
中國人民大學信託與基金研究所是依託中國人民大學成立的專業的研究機構,是我國教育部普通高校人文社會科學重點研究基地? ?中國人民大學財政金融學院金融政策研究中心的組成部分。By the end of 2002, of the many influential financial research bodies and credit rating agencies that delived a series of research reports on the chinese banking system, goldman sachs poited out in its research report in dec. 2002 that the bank insolvency such as the one experienced by the south east asian countries during the financial crisis did not pose so big a threat to the chinese banking system as the collapsing banking system of janpan caused by the absence of the much needed total finacial reform. this lack of reform has seriously inhabited the recovery and the growth of the japanese economy
在2002年底,全球不少有影響的金融研究機構,評級機構不約而同地發表了對中國銀行體系的一系列研究報告,其中高盛公司在其2002年12月的研究報告中指出,中國的銀行體系最值得擔心的倒不是類似東南亞金融危機中其國家銀行業所出現的摧枯拉朽般的倒閉風潮,最擔心的倒是像日本的金融體系一樣,因為遲遲不推出徹底的金融改革,不僅使得銀行體系一蹶不振,而且還嚴重製約了日本經濟的復甦與增長潛力的發揮。But just like other theory, because the real economic is too complexity, the " financial depth theory " is not perfect too. in order to fetch up its shortage, we do two works : the first is analyse the characters of the efficiency financial system through the dynamic economic growth model, the second is to analyse all kinds of critical theory to " financial depth theory ". based on this, finally we defined the content involved by this paper, which includes two parts : the first part is to review the characteristics and macroeconomic performance of china ; the second part is to analyze the feature and performance of china ' s financial depth based on the " financial depth theory ". for this, we will investigate the macro sects and the each measures in the same time. the third part is to analyse the financial structure and the financial risk which is the other index to measure the performance of financial depth
但是作為經濟增長理論的一個分支,金融深化論對金融與經濟增長關系的考察也有不完善之處。為彌補不足,在本部分內容當中,分析了動態經濟增長模型所展現的有效率金融體系所應具有的特徵以及對金融深化論的各種批評理論。在總結上述分析的基礎之上,最後對本研究所涉內容做了這樣的界定:一是從總體上考察我國金融深化的特點與宏觀經濟績效;二是從麥金農的金融深化實現路徑次序安排出發,對金融深化不同階段的經濟環境狀況及其經濟績效進行具體分析;三是做為對上述研究不足的補充,對金融深化與金融結構以及金融深化與金融風險的關系進行了考察。In succession, mr. takahide kiuchi, the active senior economist of nomura securities financial economic research center made the special lecture on the topic : " revaluation of the chinese yuan and the japanese economy - personal consumption following the end of deflation. -
接著由野村證券公司金融經濟研究所經濟調查部的高級經濟學者木內登英先生以"人民幣的升值和日本經濟趨向泡沫經濟之後的個人消費"為題做了特別演講。The active senior economist of nomura securities financial economic research center
野村證券公司金融經濟研究所經濟調查部Senior analyst, nomura securities co., ltd., financial economic research center
野村證券株式會社金融經濟研究所企業調查部In china, act as one of the most important part of the economic reform, the financial reform has gone across more than twenty years. but compared to the final purpose of the " financial depth theory ", there are too many course to finish for china s reform. by all appearances, it is important to realize the characters -, performance and economic environment for the proper decision, and this is the main subject of this paper. the main content is following as this : in the first part ( chapter 2 ), we define the research content through the analysis about the financial process of the economic growth and the criticism to the " financial depth theory "
要在以後的改革中進行正確的路徑選擇,必須了解過去改革的特點、績效和當前所處的經濟環境,這正是本文所研究的主題。具體內容可分為四個部分:第一部分(第2章) ,在對金融深化論、經濟增長中的金融過程以及金融深化論的批評理論進行分析的基礎之上界定本研究所包含的具體內容。金融深化論是麥金農和肖在基於發展中國家經濟存在分割的基礎之上提出的,是指通過提高利率以增加人們的意願持幣水平,從而提高資本存量與資本利用效率的經濟增長理論。The risk estimation of the exposure to market risks as the risk - management ' s core, there are many risk - management models of estimating the risk of financial markets, in this paper, the author first analyses the characteristics of the current financial market risks, then makes a comprehensive systematic analysis and estimation of all kinds of risks present in financial market with the help of var ( value at risk ), a world - wide valuably and widely accepted brand - new risk management tools. finally, a substantive suggestion about the applications of var models to the financial markets risk management of our country is provided on the basis of the detailed analysis of the calculation of all kinds of var models, along with their advantages and disadvantages and also the applications. with the development and betterment of our country ' s security markets, the entry into wto and openness of financial market, financial product innovation and extensions of traditional bank off - balance business, the augmentation of market risks will surely lead to risk management innovation and identity to international standards. therefore, the research of financial market risk management signifies a lot not only in a realistic sense, also in a guideline sense. this is just where this paper aims
針對金融市場風險管理的核心主要是對風險的測量,本文先分析了當前金融市場風險的特點,然後應用近年來在國際上受到廣泛重視並開始為大家所接受的一種全新的風險管理工具? 「在險價值」 ( valueatrisk ) var的基本思想,全面、系統地分析和測量了金融市場所存在的各種風險,並對各種var基本模型的計算、優缺點及應用作了詳細分析,最後對var模型在我國金融市場風險管理的應用提出了實質性的建議。隨著我國證券市場的發展壯大和不斷完善,及加入wto和金融市場的開放,金融產品的創新及傳統銀行表外業務的不斷拓寬,市場風險的加大必將帶來風險管理的創新並同國際接軌。所以金融市場風險管理的研究不僅具有現實意義,更具有指導意義實,這也是論文的出發點所在。There is a broad range of opportunities for people with a background in finance, and graduates of the department can pursue advanced studies in a graduate program, or find employment in banks, stock brokerages, insurance companies, the real estate industry, futures companies, and other financial institutions, or in the finance departments of companies in any industry, in finance - related government agencies, in economic research institutes, or in financial consultancies - putting into practice what they have learned
財金人的未來出路十分寬廣,學生畢業后可投考研究所,也可任職于銀行、證券、保險、投資信託、不動產、期貨公司等金融機構,或一般工商事業的財務部門、政府財經相關機構、經濟調查機構、財務顧問公司等,必能學以致用。And then 1 will give a empirical analysis to get some conclusions on the base of the data. the mainly conclusion are : finance development do contribute to china ' s economy ' s growth and in which the commercial bank play the major role while the capital market in the representative of the stock exchange do n ' t play any role to china ' s economy, and the authority ' s monetary operations will help the economy ' s growth
本文對數據所形成的實證研究所得出的最終觀點包括:金融深化整體上對經濟增長產生正向作用;金融體系中的商業銀行發展對中國經濟增長的作用很明顯;中國證券市場的發展並沒有對中國的經濟增長形成有力的支持;通過調節貨幣市場的貨幣存量,可以對經濟增長氏形成一定的正向作用。In particular, the study on renminbi derivatives markets finds that, in the onshore market, forward pricing has been increasingly driven by financial fundamentals such as the interest rate differential between the renminbi and us dollar denominated assets
其中我們對人民幣衍生工具市場的研究結果顯示,人民幣境內遠期市場定價愈來愈受人民幣與美元資產的利息差距這些基本金融因素所影響。Last on the agenda, the special lecture by mr. tetsuya wadaki, senior analyst at nomura securities co., ltd., financial economic research center, equity research department presented his talk on the " sip mems world - unfolded by mobile consumers.
鹿?義明先生當日最後由野村證券株式會社金融經濟研究所企業調查部高級分析師和田木哲也先生也所作題為「移動消費者打開的sipmems世界」的特別演講。Institute of international finance
國際金融研究所" financial mathematics 、 financial project and financial management " con - stitute a significant research project specified by the national foundation of natural science of china , in which option pricing theory is a problem of leading edge as well as a hot one. this thesis gives a new evaluation method on the important factor ? volatility, which has an important influence on the pricing of option, based on the research of option characters
「金融數學、金融工程和金融管理」是國家自然科學基金確定的重大研究項目,而期權定價理論則是目前金融工程、金融數學所研究的前沿和熱點問題。本文在研究期權特性的基礎上,對影響期權定價的重要因素波動率給出了一種新的估計方法。Based on the results, the researchers were awarded a grant from the national cancer institute to lead a nationwide study to pit cryoablation against radiation therapy, the current gold standard for treating pain associated with advanced cancer that has spread to the bone
基於該研究結果,研究人員獲得了國立癌癥研究所科研基金,用於引領一項冷凍消融術與放射治療對比的全國性研究,而放射治療是當前治療晚期腫瘤骨轉移相關疼痛的金標準。So, world accounting investigated the traditional and derivative finance instrument, but until now, they did not established a reasonable account management and information program for some derivative finance instrument because a lot of the finance blast and crisis ( such as asian crisis, mexico finance crisis ) were resulted from derivative, so it impelled the international finance organization and each government to reinforce the finance regulation
因此,世界會計界為應對這種局面,對傳統金融工具與衍生金融工具作了大量的調查與研究。但至今為止,他們對某些衍生金融工具所涉及的問題尚未制定出恰當的會計處理程序與會計披露程序。目前一系列的金融風暴(亞洲金融危機、巴林銀行倒閉、墨西哥金融危機等)大多是由衍生金融工具的交易失敗所引起的。Policy and legal system, together with the incentive mechanism are the effective guarantee of the development of hi - tech parks. based on this understanding, the essay goes further to analyze the current situation and major problems in china ' s new and high - tech industrial zones. it also puts forward suggestions on how to set up new and high - tech industrial zones in terms of distribution, development mode, institutional arrangement and innovative culture
支撐體系中政府部門通過制定一系列的法律、稅收、金融等政策措施,形成一種制度環境;金融機構對企業的創建、擴大生產和銷售、研究開發等進行信貸和風險投資;行業協會等相關中介機構促進企業間網路聯系、成為官產學研聯系的紐帶;大學、研究所和職業培訓機構等為企業的發展提供新知識和技術,為企業輸送各類人才,形成產學研之間的合作網路。He then became the chairman and managing director of the world - wide investment co. ltd. and was director on the boards of several public and private corporations. he was vice - chairman and non - executive director of the hang seng bank ltd., chairman of the stock exchange of hong kong, vice president of the international federation of stock exchange, chairman of the hong kong securities institute, chairman of the steering committee on the feasibility study on the financial services institute, member of the board of directors of the hong kong futures exchange ltd. as well as member of the conference board s global advisory council
鄭博士也曾出任本港多間上市公司和私人公司的董事,及在多間財經機構擔任要職,包括恆生銀行副主席及非執行董事、香港聯合交易所主席、國際證券交易所聯會副會長、香港證券學院主席、研究成立財經學院可行性的督導委員會主席、香港期貨交易所有限公司董事及世界大企業聯合會國際顧問委員會委員,以及現任香港金融研究中心董事。On the other hand, we investigated the value - at - risk ( var ) method, which is so popular in the field of financial risk management at the present time
另外,本文研究了目前在金融市場中廣泛使用的、用以刻畫風險的var方法。目前, var方法正日益成為各金融機構所青睞的風險監控手段。In order to lessen its impact, international assistance is always desirable. international monetary fund ( imf ) is the most important international financial institution responsible for rescuing financial crises. hence, in order to improve the imf ’ s capability of preventing and solving financial crises, studying its conditional crediting mechanism of financial crises is of important theoretical and practical meaning
為了減小金融危機的沖擊,對金融危機進行國際援助是必要的,而國際貨幣基金組織( imf )就是現行的國際貨幣體系中負責對金融危機進行援助的最重要的國際金融機構,所以研究金融危機下imf的貸款機制以提高imf對金融危機的救援能力就具有重要的理論與現實意義。分享友人