investment trust 中文意思是什麼

investment trust 解釋
(即合股投資公司) 投資托拉斯
  • investment : n. 1. 投資;投資額;(時間、資本等的)投入;投入資金的東西。2. 授職(儀式);授權。3. 包圍,封鎖。4. 覆蓋。
  • trust : n 1 信任,信賴 (in)。2 責任,義務。3 確信,希望;所倚靠的人[物]。4 委託;保管;委託物;【法律】...
  1. Advance copy of the public announcement to be made by the ha regarding its decision to re - launch the global offering of units in a real estate investment trust to implement its decision to divest its retail and car parking facilities

    房屋委員會決定重新進行房地產投資信託基金單位的全球發售,以實施其分拆出售轄下零售和停車場設施的決定一事而預先提交的聲明文本
  2. Another types of investors are institutions like life assurance and insurance companies and bond investment trust funds

    另一類投資人為機構法人如壽產險公司與債券投資信託基金,至於一般個人投資者的比重極微小。
  3. Commercial investment trust company

    商業投資信託公司
  4. Uit unit investment trust

    單位投資信託
  5. In the relevant press announcement, it was mentioned that the banking commission is expected to " consolidate the supervisory functions over banks, asset management companies, investment trust companies and other deposit taking institutions "

    有關的新聞公布指出,預期銀監會將整合對銀行資產管理公司信託投資公司及其他存款類金融機構的監管職能。
  6. Beneficiary certificates of privately placed securities investment trust funds

    二)私募證券投資信託基金之受益憑證。
  7. The term " beneficiary certificate " used in these regulations refers to a security which is issued by the securities investment trust enterprise for raising the securities investment trust fund

    本辦法所稱受益憑證,指證券投資信?事業為募集證券投資信?基金而發行之有價證券。
  8. Where the beneficiary requests redemption of the beneficiary certificate, the procedure, time, place, method for calculating the redemption price and redemption fee, and the time and method for the securities investment trust enterprise to pay the redemption price

    八受益人請求買回受益憑證之程序、時間、地點、買回價金及買回費之計算方式、證券投資信?事業給付買回價金之時間、方式。
  9. Managed by the link management limited, the link real estate investment trust ( hong kong stock code : 823 ), hong kong ' s first reit, invests in a portfolio of 180 retail and carpark facilities that are on the doorstep to 40 % of hong kong population

    領匯房地產投資信託基金(香港上市編號: 823 ) ,為香港首個房地產投資信託基金,由領匯管理有限公司管理,其投資物業組合內的180項零售和停車場設施與全港四成人口為鄰。
  10. Investment - trust buying was ? 12. 9 trillion in 2006 ( in 2002 there was net selling ), bringing their total holdings of foreign securities to ? 45. 4 trillion

    2006年的投資信託買入額為129000億日元( 2002年還沒有這種方式) ,國外證券的總持有量達到454000億日元。
  11. If a securities investment trust fund operated by a site approved by the competent authority to engage in domestic futures trading wishes to apply for an exemption to position limits, the trust fund shall complete and submit the " application for a securities investment trust fund operated by a securities investment trust enterprise to open a futures trading hedge account " ( form 3 ) together with the required supporting documentation to the exchange

    四)依主管機關規定得於國內期貨市場從事國內期貨交易之證券投資信託事業所管理之證券投資信託基金,因避險需求而擬申請豁免交易規則之部位限制規定者,應檢具證券投資信託事業所管理之證券投資信託基金設立期貨交易避險帳戶申請書(附表三) ,載明其應記載事項,連同應檢附書件,向本公司申請。
  12. The securities investment trust fund will be exempt from position limits required for each contract by their respective trading rules only after the exchange has approved the application and issued certifying documentation that may be used to open a hedge account with a futures commission merchant or to convert an existing trading account into a hedge account

    俟本公司同意並發給證明文件,憑以向期貨商開設避險帳戶或將原交易帳戶變更為避險帳戶,並由期貨商函報本公司后,該證券投資信託事業所管理之證券投資信託基金從事期貨交易,始得豁免交易規則之部位限制規定。
  13. The bank shall have a first and general inem on all funds investments held pursuant to the terms and conditions for any amounts properly due fron the client to the bank in connection with the investment trust services set out in the terms and conditions

    1針就客戶根據約定書所訂的信?投資服務而須繳付予銀行的任何款項而言,銀行對根據約定書持有的所有基金投資享有優先留置權。
  14. The items for which the securities investment trust fund are responsible for paying the fees and their calculation method, payment method, and payment time

    九證券投資信?基金應負擔費用之項目及其計算方法、給付方式及時間。
  15. The term " securities related products " used in these regulations shall refer to securities related financial products that have been approved for trading by the securities and future commission, ministry of finance ( hereinafter this " commission " ) in which securities investment trust enterprises use the assets of the securities investment trust fund for hedging operations or to increase investment efficiency

    本辦法所稱證券相關商品,指證券投資信?事業運用證券投資信?基金從事避險操作或為增加投資效率,經財政部證券暨期貨管理委員會(以下簡稱證期會)核定準予交易之證券相關金融商品。
  16. The bank shakk have the right and is authorized to the fullest extent permitted by law, without notice to the client to set off and appropriate and apply any credit balance in the client ' s settlement account against any amounts properly due from the client to the bank in connection with the investment trust services set out in the terms and conditions

    銀行有權,並在法律容許范圍內,毋須通知客戶而從客戶?算帳戶內的任何結餘,撥款抵銷及抵付客戶就約定書所訂的信?投資服務所需支付銀行的任何款項。
  17. This dissertation aims to study in view of legal point on contractual type investment trust

    本論文旨在對「契約型投資信託」這一事實現象進行法律研究。
  18. After the securities investment trust fund is no longer in existence, the fund ? s liquidation method and calculation method, payment method, and payment time for beneficiary request for return amount

    一四證券投資信?基金不再存續時,基金之清算方法及受益人請求返還金額之計算方法、給付之方式及時間。
  19. A site that operates a securities investment trust fund engaging in futures trading or holding open futures trading contract positions pursuant to the " directions for use of securities investment trust funds for trading in securities related products by securities investment trust enterprises " promulgated by the competent authority shall file a report electronically to the exchange by 5 : 00 pm each business day, entering the details into each of the corresponding fields on the computer interface provided by the exchange

    二)證券投資信託事業所管理之證券投資信託基金依主管機關公告之證券投資信託事業運用證券投資信託基金從事證券相關商品交易應行注意事項規定,從事期貨交易或持有期貨交易契約未沖銷部位者,應于每一營業日下午五時前,采媒體申報方式,依本公司電腦輸入畫面所列事項逐一輸入。
  20. Site that operates a securities investment trust fund engaging in futures trading or holding open futures trading contract positions pursuant to the " directions for use of securities investment trust funds for trading in securities related products by securities investment trust enterprises " promulgated by the competent authority shall file a report electronically to the exchange by 5 : 00 pm each business day, entering the details into each of the corresponding fields on the computer interface provided by the exchange

    二)證券投資信託事業所管理之證券投資信託基金依主管機關公告之證券投資信託事業運用證券投資信託基金從事證券相關商品交易應行注意事項規定,從事期貨交易或持有期貨交易契約未沖銷部位者,應于每一營業日下午五時前,采媒體申報方式,依本公司電腦輸入畫面所列事項逐一輸入。
分享友人