capital asset requirement 中文意思是什麼

capital asset requirement 解釋
對固定資產規定的條件
  • capital : adj 1 首位的,最重要的,主要的,基本的,根本的。2 〈口語〉優秀的,上好的,第一流的。3 大寫(字母...
  • asset : ASSET = Association of Supervisory Staffs Executives and Technicians (英國)主管人員、行政官員...
  • requirement : n. 1. 要求,需要。2. 要求物,必需品;需要量;必要條件,資格 (for)。
  1. Capital asset requirement

    對固定資產規定的條件
  2. Mortgage - backed securitization can drive home mortgage market through 4 enhancing the asset fluidity of bank. real estate industry expands quickly in our country, which bring great capital requirement. so, it is very important to develop home mortgage loan secondary market

    住房抵押貸款證券化( mbs )是資產證券化的主要產品,它通過增強銀行資產的流動性,解決銀行資金來源與運用在期限和利率上的不匹配的風險,從而大大促進了住房抵押貸款一級市場以及住房產業的發展。
  3. Thus, the bank should do well i n the liquidity planning management and the clients " loan requirement prediction ; strengthen the credit management and improve the credit capital quality ; adjust the capital structure, enhance the capital liquidity ; develop middle business and the business out of the asset and liability sheets by financial innovation ; strengthen the high level of civilization services ; intensify the research towards the marketable interest ratio and prevent the liquidity risk caused by the changing of interest rate

    為此,該行應該做好流動性計劃管理,作好客戶流動性需求的預測;加強貸款管理,提高信貸資產質量;調整資產結構,增加資產流動性;通過金融創新,大力發展中間業務和表外業務;加強優質文明服務;加強對利率市場化的研究,防止利率變化引發的流動性風險。
  4. The article refers to both vikaram ' s open - end funds liquidity risk management model and blukers - aulis ' non - parameter model, also take into consideration the particularity of china security market. through the fact that open - end funds suffered heavily from a large - scale withdrawal since the fourth quarter in 2002, it demonstrates the root cause of open - end funds liquidity risk, puts great emphasis on asset reservation in cash, stock portfolio liquidity and capital requirement in withdrawal, eventually raises some valuable advice to hedge liquidity risk

    本文參照vikaram ( 2000 )有關開放式基金流動性風險管理理論模型和布魯克斯?沃利斯的非參數檢驗模型等,結合我國證券市場的特殊性,從2002年第四季度我國開放式基金普遍遭遇大規模贖回現象出發,通過實證研究探討開放式基金流動性風險產生的原因。
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