liquidity rate 中文意思是什麼

liquidity rate 解釋
流動比率
  • liquidity : n. 1. 液性。2. 流動性,流暢。
  • rate : n 1 比率,率;速度,進度;程度;(鐘的快慢)差率。2 價格;行市,行情;估價,評價;費,費用,運費...
  1. The result of this paper were : 1 ) the market mircrostructure of chinese stock is ' nt market maker, two - part stock can n ' t circulate and the scale of current stock is small, so, filling right effect make dividend event do n ' t diluate the price, the stock price could n ' t reach optimal price ; 2 ) the meanings of bid - ask speed in chinese has been changed, did n ' t reflect the real trade cost, only reflect the possible trade cost, contained desire of price popple, din n ' t belong absolute liquidity again ; 3 ) turnover rate is a liquidity ' s index, speculation ' s index too, which can explain one side of liquidity, but this index is defective in chinese stock market ; 4 ) martin index was decrescent when dividend event occurred, display the liquidity of stock was improved, so, the martin index is compatible index to measure chinese stock liquidity ; 5 ) stock dividend event affect the liquidity in the stock dividend day, stock dividend event can n ' t dividend event in the bulletin day ; 6 ) the quantity stock dividend and trend of stock market was significant factors that affect the liquidity

    本研究的結論是: 1 )中國股票市場的微觀交易結構並不是採取做市商制度,且2 3的股票不能流通,流通股規模很小,存在著股票股利事件后的快速「填權」效應,使股票價格快速回升,股票股利發放事件的稀釋價格作用無法發揮,也就無法達到「最適價格」 ; 2 )中國股市的買賣價差的含義發生了變化,不再是實際交易成本的反映,只是可能交易成本的反映,因而很大程度上代表了股價的波動意願,並不具有完全意義上的流動性含義。 3 )就換手率而言,它既是流動性的衡量指標,也是最常用的衡量投機性的指標。換手率指標只能說明流動性的一個側面,在中國衡量流動性是有缺陷的。
  2. Theories on bond pricing include classical interest rate theory, liquidity preference theory, loanable fund theory and reasonable expectation theory

    摘要債券價格的決定理論主要有古典利率理論、流動偏好理論、可貸資金理論和理性預期理論。
  3. There may be circumstances in which some mopping up of inter - bank liquidity through the exceptional issue of exchange fund paper would be desirable. there may also be circumstances in which negative interest rates could become justifiable, if only for the purpose of underlining the government s determination to maintain the linked exchange rate system

    有些情況可能需要特別增發外匯基金票據及債券,以吸收部分銀行同業流動資金有些情況可能需要實施負利率,例如是為了強調政府維持聯匯制度的信心。
  4. To maintain maximum liquidity to defend the hong kong dollar exchange rate

    維持最高的流動性,以捍衛港元匯
  5. A rising trade surplus may give beijing a strong incentive to keep domestic spending buoyant, to avoid a massive inflow of domestic liquidity, thanks to ever - larger foreign exchange interventions aimed at keeping the exchange rate stable

    貿易順差的增長會讓中國政府更迫切地希望增加國內支出,以避免國內出現流動資金過剩的局面,政府為維持匯率穩定而不斷加大外匯干預力度是導致這種局面的誘因。
  6. Although, in accordance with the currency board arrangements, the base rate had been increased by the same magnitude, banks in hong kong had generally not so far seen a need to increase hong kong dollar interest rates because of the large amount of liquidity remaining in the interbank market

    個百分點。雖然在貨幣發行局制度下基本利率按相同幅度調升,但由於銀行同業市場仍有大量流動資金,迄今本港銀行普遍認為未有需要調高港元利率。
  7. Because of the high liquidity, the best lending rate for the hong kong dollar had remained unchanged, despite the 25 bp increase in us interest rates

    盡管美元利率上調25基點,但由於港元流動資金充裕,港元最優惠利率保持不變。
  8. Removing the bid rate of the liquidity adjustment facility

    撤銷流動資金調節機制的拆入息率。
  9. This paper analyzes the state of effectiveness of the japan ' s monetary policy during deflation. the japan ' s monetary policy has stepped into liquidity trap. the " zero interest rate policy " ca n ' t increase investment and stimulate the economic growth

    本文分析了日本通貨緊縮時期的貨幣政策的效力狀況,日本貨幣政策已陷入流動性陷阱,零利率政策沒有增加銀行貸款和帶動投資,最終刺激日本經濟增長。
  10. Based on the analysis of types and sources of risks that confront commercial banks, the paper first determines the methodology for its research, i. e. mathematical statistics for quantity factors and the fuzzy discriminating analysis for the quality factors. combining the evaluation approaches of the banks in germany and china, the paper gets 13 common indices, and with mathematical statistical method, chooses 4 factors that will influence customer credits : equity capital / total asset, velocity of stock in trade, velocity of total assets and payoff rate of total sale. the four factors with liquidity factor reflect the customer ' s financial characteristics, such as capital structure, operation, earnings and liquidity

    在理論分析的基礎上,結合德國和中國有關銀行的客戶資信評價方法,在得到影響客戶信用13個常用指標的基礎上,利用數理統計分析方法( t檢驗、多元判別分析和逐步判別分析等)得出影響客戶信用的四個因素:自有資本率、存貨周轉率、總資產周轉率和銷售盈利率,他們反映了企業資本結構、經營狀況和盈利水平,加入企業的流動性以後,它們決定了客戶的財務特徵。
  11. The second technical measure involves the removal of the bid rate of the liquidity adjustment facility

    第二項技術性措施關于撤銷流動資金調節機制的拆入息率。
  12. Banks could obtain liquidity assistance from the hkma at the prescribed offer rate through a sale and repurchase agreement involving eligible securities

    透過流動資金調節機制,銀行可藉訂立回購協議,以合資格抵押品按指定拆出息率向金管局借入流動資金。
  13. Our strategy since then has been to nurse the exchange rate back over time nearer to 7. 80. this involved, as recorded in the published minutes of the currency board sub - committee of the exchange fund advisory committee, ourselves passively taking in us dollars when these were put to us at the market exchange rate and correspondingly creating hong kong dollar liquidity in the inter - bank system

    金管局當時的對策是逐漸把匯率推回至較接近7 . 80的水平,正如貨幣發行委員會的會議記錄所載,我們的對策就是當銀行以市場匯率向金管局沽出美元時,我們都會被動地接盤,賣出港元,為銀行同業市場創造相應的港元流動資金。
  14. Allowing for freer access to day end liquidity through the use of exchange fund paper which is fully backed by foreign currency reserves will make hong kong s monetary system less susceptible to manipulation and dampen excessive interest rate volatility without departing from the discipline of the currency board arrangement

    由於外匯基金債券票據有外匯儲備提供十足支持,所以讓持牌銀行可以更多利用這些債券票據經貼現窗以回購協議形式取得日終流動資金,可以在沒有偏離貨幣發行局的運作原則下,減低投機者操控市場的能力,以及遏止利率過度波動的情況
  15. The base rate is the interest rate that we charge licensed banks when they come to the discount window operated by us, with exchange fund paper, at the end of the day when they find themselves short of liquidity

    日終結算時,有需要的銀行可憑外匯基金票據及債券作為抵押,向貼現窗借取流動資金以作周轉。換言之,基本利率才是名符其實的本港利率指標。
  16. As the liquidity shortage and the rise in interest rates stemmed the capital outflow under the automatic adjustment mechanism, the exchange rate rebounded from around 7. 75 to the intraday high of 7. 738 on january 12. when selling pressure on the hong kong dollar subsided, overnight hibor quickly eased back to around 5 per cent in the latter part of january. in line with the higher interbank interest rates, the savings deposit rate governed by the interest rate rule ( irr ) of the hong kong association of banks ( hkab ) was raised by 75 bps to 5. 5 per cent on january 12

    738的全日最高位。一月下旬,港元的沽售壓力減少后,隔夜港元銀行同業拆息迅速回落至5厘左右。基於銀行同業息率偏高,香港銀行公會利率規則定出的儲蓄存款利率也於一月十二日上調75基點,至5
  17. Thereafter, there had been some capital inflows that contributed to an increase in interbank liquidity and a drop in interbank interest rates. hk interest rate spreads over us rates had narrowed accordingly

    其後資金流入令銀行同業流動資金增加,銀行同業拆息繼而下降,而港元與美元之間的息差也相應地收窄。
  18. Interest rate liquidity risks

    利率與清算風險
  19. But if the exchange rate is somehow fixed, then the perception of good and bad may be formed, probably on the basis of the reputation of the mints, the relative liquidity of the currencies and other considerations

    不過,若匯率在某程度上是固定的,則對于良幣與劣幣的觀念,大概是建基於鑄幣廠的信譽有關貨幣的相對流動性,以及其他考慮因素。
  20. The increase of 29 basis points in the composite interest rate in may 2006 reflected upward interest rate adjustments for customers time deposits and short - term interbank funds, which were mainly due to the initial public offering of bank of china which tied up funds of hk 274 billion in the later part of the month, causing a tightening of short - term interbank liquidity see

    綜合利率在年月上升基點,反映客戶定期存款利率及短期銀行同業拆息向上調整,這主要是由於月份中下旬中國銀行首次公開招股凍結了,億港元,導致銀行同業短期流動資金緊絀見附件
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