金融評論 的英文怎麼說

中文拼音 [jīnróngpínglún]
金融評論 英文
financial review
  • : 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動詞1. (評論; 批評) comment; criticize; review 2. (評判) judge; appraise Ⅱ名詞(姓氏) a surname
  • : 論名詞(記錄孔子及其門徒的言行的「論語」) the analects of confucius
  • 金融 : finance; banking金融比率 financial ratios; 金融呆滯 financial stringency; 金融改革 financial refo...
  • 評論 : 1 (批評或議論) comment on; discuss; make [give] comment on; deliver oneself of sth ; point the ...
  1. This dissertation can be divided into three parts as following : focusing on institutional risk control, this dissertation demonstrated the effect of institutional risk on dis " objects by analyzing the relationship between deposit insurance and financial development, financial stability and market discipline, in light of foreign or native primary theory and empirical results of dis. in virtue of statistical method and with the theory of game, this dissertation explored the cause the institutional risk such as moral risk and adverse selection, on the basis of which discussed the approach of controlling institutional risk and proper deposit insurance pattern. because deposit insurance assessment is the core of institutional risk control, this dissertation introduced and discussed deeply the passive casualty - insurance model, the option - pricing model, the game - theory - based pricing model, and reasonable pricing interval, and put forward the hierarchical pricing strategy of dis on the balance of information confiscatory and risk - based - assessment necessity

    本文以存款保險制度風險控制為中心,在借鑒國內外關于存款保險制度的基本理和實證的基礎上,通過分析存款保險與發展、穩定和市場懲戒等方面的關系,證了存款保險制度風險對存款保險制度目標的影響;並藉助統計學的方法,運用信息博弈的觀點,從主要制度參與者? ?投保機構和存款保險機構? ?的效用函數出發,對存款保險所引發的道德風險和逆向選擇等制度風險的成因進行深入的剖析,探討有效控制制度風險的途徑和制度參數的安排模式;由於存款保險定價是制度風險管理的核心問題,本文還專門對意外存款保險消極模型、存款保險的期權定價模型、基於信息經濟學的存款保險定價模型以及合理定價區間等定價模式進行深入分析和詳細述,闡述各種定價思路的局限性和可能運用的空間,通過權衡信息的充分性和風險定價的必要性,提出存款保險制度的層次性定價策略。
  2. First, it establishes a theoretical framework for commercial bank competence on the basis of extensive literature review and the integration of related theories in general and financial economics. secondly, a multilevel index system is established in this dissertation consisting of three major key elements of knowledge innovation, organization ability and basic circumstance, which solves the problem in existing competitiveness evaluation study which only concerns the current, security and profitability in banks ’ finance neglecting the comprehensiveness or dividing the hierarch of evaluation index system. thirdly, this dissertation empirical analysises the competitiveness of the china ’ s commercial bank, and bases on the actuality analysis of competitiveness of the china ’ s commercial bank and empirical research conclusion, puts forward self viewpoint to how

    然後,入經濟學、學的相關理,構建了商業銀行競爭力的理框架;二是將構建了一個包括知識創新、組織能力和基礎環境三大商業銀行競爭力構成要素的分層次價指標體系,解決了現有研究存在的或只價財務表現,或只關注銀行「三性」 ,使得價缺乏全面性的問題,並彌補了某些研究指標體系缺乏層次性的不足;三是實證研究中國商業銀行競爭力,並在對中國商業銀行現狀分析和實證結的基礎上,對如何提升中國商業銀行競爭力提出了自己的觀點。
  3. Nevertheless, in the financial economics field, opm can be adopted to make a correct valuation on the uncertainty opportunity value of the financial investment since m & a has the feature of option, it is nature that opm can be adopted to valuate the target enterprise during m & a under some hypotheses

    而在經濟學領域,期權定價理和模型對投資中的不確定性機會價值能作出相當準確的估。分析表明,並購具有期權的特性,因此在一定的假設前提下,能夠將期權定價模型應用於並購中目標企業的價值估。
  4. Lin jian, a guest writer on the financial times chinese website, wrote that the consumption of mooncakes has one simple purpose - to maintain relationships

    英國《時報》中文網特約撰稿人林劍在中寫道,送月餅的一個直接目的就是「維持關系」 。
  5. This paper makes a systematic expatiation of several main monetary transmission mechanisms in enclosed economy, and offers comments on them, including keynes effects, real balance effects, financial assets effects, credits availability effects, expectancy effects and other relevant macro - economics theories. at the same time, it has carried on a discussion and a primary research on the effects of the above transmission mechanisms

    本文對封閉經濟中幾種主要的貨幣傳導機制,即凱恩斯效應、實際余額效應、資產效應、信貸可得性效應、預期效應,以及相關的宏觀經濟理進行了較為系統的闡述和,同時還對上述傳導機制在中國經濟中的作用進行了初步的探討。
  6. The thesis explains the government ' s leading function in developing the mortgage bank bonds. the thesis points out that the government should set up financial laws and perfect the persona l credit, the guarantee and insurance market, train actively the non - personal investor and standardize the measures of the real - estate evaluating industry. the aim of the article is to provide the theoretical basis and operational guide for china ' s housing industry development using mortgage bank bonds

    提出我國開展抵押銀行債券,政府應起到主導性作用,以及應建立和完善住宅運行的法律法規、完善個人信用規則、健全擔保保險市場、積極培養機構投資者、規范發展房地產估業等對策措施,以期為我國住宅產業發展實施抵押銀行債券提供理基礎和運作指南。
  7. The contents are focused on the latest uk and international business, finance, economic and political news, comment and analysis and updated 24 hours a day

    內容涉及英國及全球最新的商業經濟政治新聞和分析。每天24小時更新。
  8. These discussions were supported by rich and objective analysis not only from our organisation but also from the international financial institutions, the rating agencies and the private sector

    大家在討這些風險時,往往以仔細客觀的分析作為佐證,而這些不單是管局的分析,更有來自國際機構級機構及私營部門的分析。
  9. 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的一個分支,深化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體系所應具有的特徵以及對深化的各種批。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深化的特點與宏觀經濟績效;二是從麥農的深化實現路徑次序安排出發,對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,對深化與結構以及深化與風險的關系進行了考察。
  10. As citigroup becomes the latest to exit the business, mr yukawa recalls one customer saying of foreign groups : “ they always open and close and never think about clients

    隨著花旗成為最新撤出該業務的集團,湯川先生回憶道,一位客戶曾這樣: 「它們總是開開關關,從不為客戶著想。 」
  11. As citigroup becomes the latest to exit the business, mr yukawa recalls one customer saying of foreign groups : " they always open and close and never think about clients.

    隨著花旗成為最新撤出該業務的集團,湯川先生回憶道,一位客戶曾這樣: 「它們總是開開關關,從不為客戶著想。 」
  12. Despite the hkma having become, i sense, something of a political football of late, it has managed, with justification i believe, to retain a high degree of public confidence in its capacity to fulfil its principal tasks, which relate to monetary and financial stability

    雖然感覺上管局逐漸變得有點像政治足球,成為社會的焦點,但它仍能維持高度的公信力,使市民相信它有能力履行主要的職務,維持貨幣及穩定。
  13. The question of commercial bank ' s comprehensive & scientific performance evaluation, which will help our commercial banks to recognize themselves correctly, instruct their operation scientifically, improve their competitive ability, has become the focus in the commercial bank ' s management theory and practice research field

    加入wto ,全面對外開放的趨勢使得我國商業銀行面臨強大的競爭壓力。全面科學測銀行績效以正確認識自我、科學指導商業銀行的經營管理、增強銀行競爭發展能力,成為商業銀行經營管理理與實踐研究的熱點。
  14. The preface illustrated the motivation of the problem is put forth in the paper, reviewed the situation of the relative research all over the world, explained the thoughts and the methods of the paper and indicated the innovation of the paper. chapter 1 is the connotation and the theories of the financial structure. this chapter illustrated the relations between the financial development and the economic growth, explained the connotation of the financial structure, compared the theories of the financial structure and indicated the effect of the financial structure to the economy of the developing countries

    文的大致內容如下:引言闡述問題提出動因、國內外研究現狀、研究思路與方法以及研究創新點;第一章主要指出發展與經濟增長間關系,解釋資結構內涵,比較和述宏觀和微觀資結構理,闡明資結構對發展中國家經濟的影響;第二章主要闡述資結構系統觀、資結構產出模型和瓶頸效應,同時指出影響資結構的供求因素;第三章主要闡述我國資結構現狀,指出我國資結構主體缺陷和協同缺陷,進而分析我國資結構缺陷的原因;第四章講述資結構國際模式內涵與特點
  15. In china, most of related research follow the model of goldsmith ( 1969 ), focusing on the relationship between financial structure and economic growth, while there are only occasional papers that intuitively recognize the role of financial structure in the process of monetary transmission mechanism, but it lacks basically a systematic analysis to follow the models of gurley and shaw ( 1960 ), bernanke ( 1995 ), dornbusch et al ( 1998 ), cecchetti and krause ( 2001 ), focusing on the modern views of the monetary transmission mechanism, which assign a central role to financial structure

    結構意義上把握貨幣傳導機制,是合宏觀經濟學和學的一個重要領域,也為構架刻劃市場的宏觀經濟模型、價貨幣政策傳導效率提供了理基礎,因此具有較高的學術價值。在結構意義上理解貨幣傳導機制,意味著在選擇和實施貨幣政策的工具和規則時,需要根據相應的結構及其與貨幣傳導機制的關系進行,需要注意貨幣政策對不同結構的地區、部門和行業的不對稱性影響。
  16. Arguments about the name of the crime arguments mentioned above include : the crime of not putting forwards the sources of enormous assets ; the crime of processes of enormous assets which have unclear sources ; the crime of not able to provide the legal source of the enormous assets ; the crime of covering the souses of enormous assets, the crime of grabbing enormous assets, the crime of having enormous illegal assets, etc. on the other hand, the supreme court of china define the name is the crime of the crime of huge unidentified property 。 though by doing this we have cleared the chaos in the legal practice, there are still hills of

    通過對巨額財產來源不明罪法條解釋爭問題之析,得出巨額財產來源不明罪存在自身缺陷,不能達到邏輯的自足性,任何期待進行圓滿解釋的學說,都只能是牽強的。因此,主張以拒不申報、虛假申報財產罪替代巨額財產來源不明罪,同時也需要對拒不申報、虛假申報財產罪前置制度如個人財產申報、監管和監督制約等制度進行建設,並通過法律將其上升為國家意志予以保障。
  17. Based on this, the author comments and studies merits and demerits of definition in law of contract of the financial lease contract, and advanced new definition in the article of the financial lease contract

    在此基礎上,研究我國合同法對資租賃規定的得失,提出本文的「資租賃合同」定義? ?資租賃合同是出租人根據承租人的要求購得資產,承租人租用該資產並以租的形式歸還各期本息的合同。
  18. All theories in finance related to the post - merger performance of enterprise, including theory of capital structure, theory of synergy, theory of diversification, theory of management versus stockholders " interest and theory on redistribution effect, and methods related to post - merger performance evaluation, including events study, have been analyzed to meet the need of rese the results of the study will put a concrete foundation for further study in this field

    綜合分析了各種與並購績效相關的以及參考和借鑒了各種並購績效估方法。與並購績效相關的包括:資本結構理、財富創造與財富再分配理、管理者主義與股東權益理、協同效應理和多元化並購理;現有的並購績效估方法包括:事件研究法、非財務指標估法、因子分析法與貼現現流量法。
  19. The thesis is focused on the theory and standardizing development of agricultural policy - based finance ( apbf ) and the problem of the agricultural policy - based finance of china with the methodology of positive analysis. the objects of the study are that ( 1 ) the main problem of the agricultural policy - based finance of china lies that its performance is not consistent with the standard ; ( 2 ) from the analyses of the information economics theory and the poor - quality agriculture and the relation between the reform of our finance and the apbf, the theoretical basis and necessities of developing our apbf are revealed ; ( 3 ) in the developing process of our apbf, we can see that apbf and its performance do exist in national economy, especially in agriculture and agricultural economy ; ( 4 ) compared with foreign institutions of apbf, the status quo, problem and its cause and influence of apbf of china are examined, and then the countermeasures are put forward

    文是關于農業政策性及規范發展中國農業政策性的實證研究:通過系統探討農業政策性,比較國外農業政策性活動,揭示了發展中國農業政策性的理依據;通過考察中國農業政策性的發展歷史,對中國農業政策性的產生、發展、現狀及其運作不規范的問題、原因和影響進行了實證分析;研究了在社會主義市場經濟體制建立過程中發展中國農業政策性的組織模式、功能作用、經營機制、業績價、監管機制、發展戰略等方面的問題;提出了中國農業政策性的組織模式改造、資籌措運用、業務范圍調整、監管體系設計、法律制度規范、發展趨勢預測的構想和政策建議。
  20. Furthermore, the funds investors need to know that whether the funds achieve their goal through evaluate funds ’ performance and the manager ' s investment skills. the funds management companies need the evaluation to find problems and improve their operation. the superintendent also needs the evaluation to make more efficient policy

    從markowits的投資組合理,到treynor估模型、 sharpe指數模型,及發展至後期的以roseapt模型為基礎的多因素分析模型,證券投資基的績效估實質上是運用現代對風險資產進行定價的典型應用。
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