風險匯合 的英文怎麼說

中文拼音 [fēngxiǎnhuì]
風險匯合 英文
policy holder
  • : Ⅰ名詞1 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
  • : Ⅰ名詞1 (險惡不容易通過的地方) a place difficult of access; narrow pass; defile 2 (危險) dange...
  • : Ⅰ動詞1 (匯合) converge 2 (聚集; 聚合) gather together 3 (通過郵電局、 銀行把款項劃撥到別處)...
  • : 合量詞(容量單位) ge, a unit of dry measure for grain (=1 decilitre)
  • 風險 : risk; hazard; danger
  1. Risk analysis of foreign exchange markets by copula

    的外投資組分析
  2. Risk analysis of foreign exchange rates by copula

    的外投資分析
  3. However, the complicated international - trade circumstance makes it very difficult to control the payment risks of export, and at the same time because of their own defects, the traditional trade finance products cannot satisfy the exporters ’ needs. therefore, it has a high demand for the newer and better trade finance products and forfaiting is just a suitable one as a kind of bill discounted without recourse. after entering into wto takes the opportunities and challenges to the chinese banks, and the foreign banks will try to occupy the chinese markets by their rich management experiences, high - quality services and various fianc products

    一、本文的研究目的和意義隨著商業銀行客戶群日益多樣化的發展和不斷涌現的國際貿易新形式,傳統的打包貸款、出口押等業務品種,已遠不能滿足我國企業日趨豐富的融資需求,本文通過對福費廷業務的特點、狀況、市場前景的分析,力圖找到一條適我國商業銀行開展福費廷業務的新路子、新思維,同時也希望能為我國這樣一個新興市場經濟國家在解決出口融資方面提出一個值得大力發展的途徑,有利於促進我國出口貿易及我國商業銀行國際業務的大發展。
  4. The article discusses the law system and actual practice of outward bill financing on l / c. by means of combining theory and practice, the author makes clear the legal relationship about outward bill on l / c, putting up some designs of systems creatively, with intention of providing some suggestions for our commercial bank business in taking risk precautions, and promoting our country ’ s legislation in the related field

    本文主要就信用證項下出口押融資的法律制度與實務作了較為深入地探討,通過理論與實踐的結,理順了信用證出口押的法律關系,創造性地提出了一些制度設計,希望通過對本課題的研究,能對我國商業銀行的這一普遍業務,在防範方面提供有效的借鑒意義,並以期促進我國在相關領域的立法。
  5. At last but not the least, integrating with china ' s reality the paper analyzes whether there are financial risks or not in economic structure, foreign debt management, foreign exchange system selection and foreign exchange level. in face of the changes from domestic and outside circumstances, we should carry out the reform steadily, strengthen financial regulation, prevent and defuse financial risks so as to provide better banking services for economic development and social stability

    最後,結中國國情,本文詳細分析我國在經濟結構、外債管理、率制度選擇和率水平安排方面是否存在金融隱患,以及針對我國國內國外經濟發展環境的改變,我國應如何進行改革調整,以便最大限度的抵禦、防範危機,使金融能夠更好的發揮其促進經濟發展、穩定社會秩序的作用。
  6. Article 1 : these measures have been formulated pursuant to laws and administrative regulations such as the prc insurance law and prc foreign exchange control regulations, etc., in order to strengthen the administration of the overseas investment of insurance capital, guard against risks and safeguard the lawful rights and interests of the insured and parties involved in the overseas investment of insurance capital

    第一條為了加強保資金境外投資管理,防範,保障被保人以及保資金境外投資當事人法權益,根據《中華人民共和國保法》 、 《中華人民共和國外管理條例》等法律、行政法規,制定本辦法。
  7. For example, exchange rate risk could be removed by constraining movements in the exchange rate for the convertibility undertaking to an even narrower range, settlement risk could be removed by changing the settlement convention from t 2 to t 0, and portfolio risk had already become less of an issue following the technical measures introduced in september 1998. 7

    例如,只要把兌換保證率的變動限制在更窄的幅度內,便可消除把結算慣例由t 2變為t 0 ,便可消除結算至於投資組,繼1998年9月推出技術性措施后,亦已成為較次要問題。
  8. This article briefly introduces the export credit and the background of export credit agency ( eca ). meanwhile, with the introduction to and the compare with the main world egas, the writer try to explore the future development of china ' s ega on the basis of the status quo. since the establishment of the first ega in british ( the export credit guarantee department, ecgd ), in 1919, many countries has set up their egas, including developed countries and developing countries

    出口信用( exportcredit )一般是指由一國政府支持的出口信用機構( eca )通過出口信貸、出口信用保和出口信貸擔保等方式,為進出口交易的有關各方提供融資便利,降低交易方的收和融資成本,達到促進本國產品和服務出口、促進海外投資以及本國和其他國家的經濟作的一種特殊的融資方式。
  9. Thesis designs a scheme to push forward for the monetary cooperation in east asia, that is to establish east asian exchange rate stability fund and east asian exchange rate mechanism of pegging combinational monetary basket. the aim is to seek a kind of sustainable exchange rate steady, evade the risk of the financial crisis and balance the cost and income in monetary cooperation of various countries

    論文為東亞貨幣作設計了一個向前推進的方案,即建立東亞作基金和釘住混貨幣籃的作機制,以此尋求一種可持續的率穩定,規避金融危機的,平衡各國在貨幣作中的成本和收益。
  10. How hong kong s multi - currency financial infrastructure platform helps meet the needs of mainland banks in managing foreign exchange settlement risk

    香港多貨幣金融平臺如何配內地管理外交易清算
  11. In this part the thesis analyze and measure the foreign transaction exposure, the foreign conversion exposure and the foreign economical exposure and expounds corresponding management tactics for them. additionally, the thesis suggests that the native enterprises involved in the business of foreign exchange set up the monetary committee and assign corresponding managerial purview to control foreign exchange risk effectively

    對我國涉外企業的外交易進行立體式管理,具體分為內部管理策略和外部管理戰略;對外折算管理主要針對跨國公司的折算採用資產負債表保值和遠期同保值策略;對外經濟管理在引入遠景方案法和回歸分析法對其進行識別之後,採取相應的策略進行管理。
  12. Following, making development study from the three directions : the first one is how to reduce calculation when to use markowitz model. this text has improved the efficient frontier of markowitz model utilizing free risk assets, and reduced calculation about revenue rates " co - variance matrix utilizing single or multiple factors, and so on. the second one is to add thinking factors about, such as transaction fee, fund limitation, lowest transaction unit ' s limitation, risk measures and exchange rate risk of international portfolio securities, so as to make markowitz model closer to our country ' s practice

    接著,分三今方向對markowitz模型進行了拓展研究:第一個方向是運用markowitz模型時如何減少計算量,本文利用無資產來改進markowitz模型的有效邊界,利用單因子或多因子模型來減少收益率協方差的計算量等等;第二個方向是增加考慮因素,諸如交易費用、資金限制、最小交易單位限制,測度和國際組證券的,使markowitz模型更貼近我國的實際;第三個方向是對markowitz模型進行動態拓展研究,提出了將證券收益率看成是隨機序列時的投資決策模型,深入研究了m ? v有效邊界隨資產品種數增加而發生的漂移,並用解析方法和幾何圖形描述了漂移的軌跡和方向。
  13. Thus we face the great foreign currencv risk during usd f lu ? uati on. the forward foreign exchange transaction is widely employed in the international financial maekst to guard against foreign exchange risk

    遠期外業務是國際金融市場上運用廣泛的防範外的衍生工具,其內容有遠期約、期貨、期權和互換。
  14. But as the financial holding company plays many kinds of roles on the financial market at the same time, it becomes aggregate point of financial risk. because there have not been laws and regulations about financial holding company in our country yet, many risks of financial

    但是由於金融控股公司是跨行業、跨地區多種金融機構與金融業務的聚體,在金融市場上同時擔任多種角色,如發行中介、交易中介、投資者、融資者、信息提供者等,從而成為金融業的聚處和集點。
  15. In keeping pace with changes in the investment approach of the exchange fund, the rmc division is constantly strengthening its internal diagnostic and analytical capabilities in line with best practices in the market place

    為配基金投資取向的變化,管理及監察處根據市場最佳標準不斷提升內部的評估及分析功能。
  16. The risk management and compliance division constantly strengthens and improves its internal diagnostic and analytical capabilities in line with best practices to keep pace with the changes in the investment approach of the exchange fund

    為配基金投資取向的變化,管理及監察處根據市場最佳標準不斷提升內部的評估及分析功能。
  17. In this paper, with the guidance of comprehensive principles in international economics, industry economics, development economics, management sciences and statistics, the feasibility of offshore renminbi finance was explored. through exploring the formation mechanism on how its interest and exchange rate would be formed, offshore renminbi internal operation mechanism was analyzed ; using the international comparison technique, the influence of the offshore remminbi finance and the corresponding operational methods to promote its development were researched. based on these studies, the feasible pathway, expecting risks and corresponding measures were derived ; the comparison superiority and global competitions capability of renminbi were qualitatively and quantitatively studied

    本文以國際經濟學、產業經濟學、發展經濟學、管理學、統計學等綜理論為指導,對人民幣離岸的可行性進行了探討;通過探討離岸人民幣利率形成機制和率形成機制,對人民幣離岸金融內在運行機理進行了分析;採用國際對比的方法,對人民幣離岸金融的效應及促進其發展的政策措施進行了分析;並以此為基礎,對人民幣離岸發展的可行途徑、將面臨的和對策進行了探討;對人民幣比較優勢和國際競爭力進行定性和定量研究,為中國入世后進行金融業戰略性結構調整提供理論依據,並為政府有關部門提出對策建議。
  18. Article 11 if the exchange gain or loss of any monetary item formed by an intra - group transaction of an enterprise is unable to be fully offset in the consolidated statements, the foreign exchange risk of this monetary item may be designated as a hedged item in the consolidated financial statements

    第十一條企業集團內部交易形成的貨幣性項目的兌收益或損失,不能在併財務報表中全額抵銷的,該貨幣性項目的外可以在併財務報表中指定為被套期項目。
  19. As the investment objectives, risk and return characteristics of this portion of the fiscal reserves are similar to that of the exchange fund, this change in the investment policy for these fiscal reserve placements will not require immediate changes in the strategic investment benchmark for the exchange fund

    由於這部分財政儲備的投資目標和回報特性與外基金類似,所以即使存入外基金的財政儲備的投資政策有改變,也無需即時對外基金的策略性基準投資組作出修改。
  20. Exchange rate risk measure of foreign assets and optimal portfolio selection in china ' s commercial banks

    我國商業銀行外資產的測量與最優組選擇
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