financial return 中文意思是什麼

financial return 解釋
財政收益
  • financial : adj. 1. 財政(上)的,財務(上)的,金融(上)的。2. (會員)繳費的〈cf. honorary〉。adv. -ly
  • return : vi 1 回轉,回來,回去,返回,折回 ( to)。2 再來,又來;復發,回復,恢復。3 回頭說正經話,回到本...
  1. Whence, disappearing from the constellation of the northern crown he would somehow reappear reborn above delta in the constellation of cassiopeia and after incalculable eons of peregrination return an estranged avenger, a wreaker of justice on malefactors, a dark crusader, a sleeper awakened, with financial resources by supposition surpassing those of rothschild or of the silver king

    在無限世紀的漫遊之後,成為一個從異邦返回的復仇者,秉公懲戒歹徒者,懷著陰暗心情的十字軍戰士346 ,蘇醒了的沉睡者347 ,其擁有的財富超過羅斯柴爾德348或白銀國王349假定如此。
  2. Cash flow is rain glass of enterprise ' s management. the financial status of corporation is fundamentally determined by some aspects like production plan, system of stock and system of tick and return payment, which also influence the cash flow

    現金流量是企業經營的晴雨表,企業的生產計劃、存貨制度、賒銷和回款制度等都會從根本上決定企業的財務狀況,影響企業的現金流量。
  3. ( ii ) this paper makes the annals data of the listed companies in 2004 as sample, and gets earnings per share and the regression equation of the four financial indexes which have noticeable effect on it via stepwise regression method. the four financial indexes which affect earnings per share are the net asset per share, unaccommodated profit per share, quick ratio and return on assets respectively. the equation provides a

    (二) 、以河南省上市公司2004年年報數據作為樣本,應用逐步回歸方法,得到每股收益和對它有顯著影響的四個財務指標的回歸方程,影響每股收益的四個財務指標分別是:每股凈資產、每股未分配利潤、速動比率和總資產報酬率,為這些上市公司提高每股收益提供參考。
  4. This fee arrangement changes the lawyer - client relationship which is predicated on professional and objective advice and paid for by the client, to that of an investment model where the lawyer takes a financial interest from the outcome, i. e. his return on investment, into the client s case

    此項收費安排改變了律師與客戶之間關系,由取決于專業及客觀意見及由客戶承擔費用方式改為投資模型,當中律師將會從客戶案件的結果獲取經濟利益,即律師的投資回報。
  5. Marking all financial assets to market, which is the proper accounting approach for fund management, we achieved an investment return in 2003 of hk 89. 6 billion. in terms of the actual amount, this is the third highest return in the history of the exchange fund, though it is understandably behind 1998 and 1999, when investment return was boosted by book profits from the stock market intervention

    若依照基金管理的會計方法對所有金融資產進行市值評估,外匯基金在2003年的投資回報額是896億港元,這是外匯基金歷來錄得的第三高回報,不過當然比不上1998及1999年的成績,因為股票市場入市行動錄得的帳面溢利大大推高了這兩個年度的回報額。
  6. Whether mr chenault would want to return american express to the " financial supermarket " model which proved so disastrous for it in the past is another matter

    過去,美國運通的「金融超市」模式已證明是災難性的,而陳納德先生是否想讓美國運通回歸這種模式,那就是另一回事了。
  7. Although this involves giving up the liquidity of some of the foreign reserves, the return on such investments extends to well beyond just the financial yields of the assets that are accounted for in the balance sheet of the central bank holding the foreign reserves

    將部分財政資源投資于這個范疇是一種合理分配金融資產的方式,亦符合國家利益。雖然這樣可能會減低部分外匯儲備的流動性,但這些投資的回報會遠超過在人民銀行資產負債表上的外匯儲備收益。
  8. Chapter 2 discusses the simple financial market consist of only one basic risk simple asset ( as a random variable, its return is simple, i. e., takes only finitely many different values ) and one risk - free asset

    第二章討論以簡單的風險資產,即覷回嗣以鰱多有限種不同的可湘的風險資班為基本資產的市場。
  9. During the year, the ia received a number of delegations from the china insurance regulatory commission, the national association of insurance commissioners of the united states and the department of finance & treasury of papua new guinea. in return, the commissioner paid an official visit to the financial services authority of the united kingdom

    年內,保險業監督接待了中國保險監督管理委員會( 「中國保監會」 ) 、美國全國保險監督協會及新畿內亞財政及庫務部的多名代表,亦訪問了英國財經事務管理局。
  10. Article 15 with respect to the return of the money as raised through issuance of rmb bonds and the follow - up funds as well as the repayment of the principal and interests, a financial institution within the territory of china shall make a report on the international balance of payments in accordance with the operational rules for the overseas assets, liabilities, losses and proceeds of financial institutions ( hui guo fa zi [ 1996 ] no. 13 )

    第十五條境內金融機構發行人民幣債券所募集資金及后續資金調回、本息兌付應按《金融機構對境外資產負債及損益申報業務操作規程》 ( ( 96 )匯國發字第13號)進行國際收支統計申報。
  11. Some principal results are as fellow : the 3rd chapter mainly studys some property of laplace distribution and my national stock market return distribution. by analysis, it shows that laplace distribution possesses important applied worthy in financial field

    論文第三章,深入地研究了laplace分佈的一些性質,系統的研究了中國股票市場的分佈特徵,並對laplace分佈的應用作了實證分析,發現laplace分佈在金融領域具有重要的應用價值。
  12. This week in our foreign student series we return to the subject we have discussed before : financial aid

    本周我們外國學生系列舊事重提討論資金援助問題。
  13. Perhaps calonne might return too, with fresh financial expedients.

    或許卡洛納也會回來,帶有新的財政機謀。
  14. Savings, personal financial management, and return on self - enhancement and investment in children

    儲蓄及理財之道,以及自我增值及投資在子女身上的回報;
  15. The president wants to allow younger workers to invest part of their social security taxes in financial markets, in the hopes of gaining a higher rate of return

    布希想要允許年輕的工人在金融市場中為他們自己的社會保險稅來部分投資,希望能獲得較高的回報率。
  16. The model of this paper explores the links between the following factors and the credit rationing in china. the change of banks " attitude to credit risk may lead to credit rationing ; banks give much more emphasis on the trade cost and the payable value of collateral, which may give rise to credit rationing ; the decreasing of asset price during economic stagnation produces credit rationing ; the bias of banks " objective function from the maximization of profit and the transformation of the function relating to the reform of the financial system cause credit rationing ; if different parts of the whole markets are not integrated, the credit in the part with low capital return ratio will be rationed. during economic recession, banks tend to ration the credit in the high - risk market ; the removing of interest ceiling will narrow down the interest spread of deposit and credit at least during a period, which may strengthen credit rationing ; meanwhile, the vulnerable borrowers, including small and middle - sized enterprises, will get more credit from banks even though they have to pay a higher interest rate

    論文的模型探討了下列因素和中國信貸配給現象之間的聯系:商業銀行對信貸風險的態度變化,在辨別和控制信貸風險上開始投入大量的成本,這一過程會導致信貸配給;商業銀行對與法治環境相關的交易成本和抵押品清償價值的日漸關注會導致信貸配給;宏觀經濟緊縮時期資產價格下降會導致信貸配給;商業銀行經營目標函數偏離利潤最大化,近幾年金融業改革過程使商業銀行目標函數發生變化,這一變化過程可能導致信貸配給;在市場分化的條件下,收益水平低的市場會遭受信貸配給;在經濟下滑時期,商業銀行尤其會對高風險市場配給信貸;利率市場化使商業銀行的存貸利差至少在一段時間內縮窄,利差縮窄可能加重信貸配給的程度:在利率市場化條件下,弱勢借款者,包括中小企業,遭受信貸配給的程度可能得到緩解,但支付的貸款利率水平將會升高。
  17. Independence is not something that can or will be delayed in return for financial incentives, as some people have seemed to suggest ; independence is not for sale

    獨立不是什麼禮品,就像某些人建議的那? ?梢醞涎踴蛘囈? ?涎櫻?員鵓?蒙系玫降囊恍么
  18. Review on continuous - time equity return models in financial engineering

    金融工程中資產收益的連續時間模型評述
  19. Traditional var methods want to give a hypothesis of financial return data subjected to some distribution, which brings about the suspicion of validity of hypothesis. however evt educes the tail of distribution instead of the hypothesis

    傳統上, var計算方法一般都要對金融收益服從哪一類型分佈進行假設,這就不可避免地對這一假設的有效性產生懷疑。
  20. Because evt mainly studies extreme value and models the tail of distribution financial return, it can effectively forecasts and guards against the financial risk on the condition of lacking of sample data. more and more people recognize the great potentials of evt dealing with the risk of extreme event. especially evt can be used in application to value at risk due to modeling the tail of distribution

    極值理論主要以極值為研究對象,它注重模擬收益分佈的尾部,比較有效地解決了在缺少樣本的客觀條件下如何預測和防範金融風險的問題,因此,越來越多的人認識到極值理論在極端事件風險管理中的巨大潛力,特別指出的是極值理論是一種模擬收益分佈尾部的理論,所以可以應用於風險價值的測量。
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