money risk 中文意思是什麼

money risk 解釋
貨幣風險
  • money : n 1 貨幣;錢 金錢。2 財產 財富 財力。3 〈主 pl 〉 (特種)貨幣;通貨;〈pl 〉〈古語〉【法律】金額...
  • risk : n 1 風險,危險;冒險。2 【保險】(損失的)風險(率);保險金額;被保險人,被保險物。vt 冒…的危險...
  1. For what would they risk their rascal carcases but money

    除了錢,他們還能為了什麼去拿自己的狗命冒險? 」
  2. To markets, it says risk - takers will not be bailed out by cheaper money when the going gets tough

    對市場而言,這表明在前途黯淡時即使資金價格更便宜也救不了那些冒險家。
  3. Shame : to hand money to the poor before being asked, but risk making the recipient feel shame

    第四階羞愧:在窮人請求前就給他們錢,但是冒著讓接受者覺得羞愧的風險。
  4. And the explicit factor is management risk 、 expectant cash inflood quantity 、 capital fluidity 、 money market 、 decision - making misplay 、 credit risk 、 government behavior etc. macroscopical factor

    經營風險、預期現金的流入量和資產的流動性、金融市場、決策失誤、信用風險、政府行為等宏觀因素是負債籌資風險的外在因素。
  5. It will involve a wide range as well as it will face to the moral risk of the commercial banks after setting money rate free, and it may do harm to the motion of the whole market

    利率市場化改革涉及面廣泛,而且利率放開后還面臨商業銀行的「道德風險」以及可能帶給整個市場運行的損害。
  6. It is not only influnce the survival of valin group but also influnce the industrialization progress of hunan province. this book appraised the foreground of the product market, raising money and using money, budget and potential risk of this project by using the method of project evaluation, analysised avail factor and disadvantage factor, then bring forward measures of evading project risk to help erector and bank who provide a loan

    本文運用項目評估方法,對華菱薄板項目的產品市場前景、資金籌措與運用、財務預測與分析及項目潛在風險等方面進行評價,分析項目建設的有利因素和不利影響,得出評估結論,提出規避項目風險的措施,為項目建設單位及項目資金承貸銀行提供指導和幫助。
  7. The financial industry mainly involves the circulation of money and the credit activity, and it is the monetary fund collection and distribution center, in addition, our country ' s market economy is not developed and the correlation legal system is not perfect, therefore, the financial profession not only receive normal financial risk, but also is extremely easy to receive the illegal criminal offender ' s violation

    金融業主要涉及貨幣流通和信用活動,是貨幣資金的集散地,再加上,我國的市場經濟不發達,相關的法律制度不健全,因此,金融行業除了正常的金融風險外,還極易受到不法犯罪分子的侵害。
  8. When they choose to invest money in financial assets denominated in foreign currencies, they incur exchange risk as well

    若銀行選擇投資于外幣金融資產,便要承擔外匯風險。
  9. We sixth, namely last the responsibility, is responsible for the shareholder, the company certainly must make a profit the growth, must breed the reserve fund, must conduct the research, the development has the risk spirit the plan, pays the wrong price, must prepare in advance for the adverse circumstance, pays the suitable tax money, purchases the new machine, the building new workshop, promotes the new product development new sale plan, we must test the new conception, we after this all responsibilities, the shareholder should obtain the fair return rate, we were determined under the mercy god assistance, we biggest strength completes these duties

    我們的第六個即最後一個責任,是對股東負責,公司一定要獲利成長必須孳生準備金必須進行研究,開發有冒險精神的方案,支付錯的代價,必須為逆境預作準備,支付適當的稅款,購買新機器,建築新廠房,推出新產品開發新的銷售計劃,我們必須實驗新的構想,我們盡到這一切責任后,股東應該得到公平的報酬率,我們決心在慈悲的上帝協助下,盡我們最大的力量完成這些義務。
  10. The dual - attributes of commodity and money make the price of the world gold market determined by multi - factors, so the gold price fluctuates frequently and fierily, and the risk of gold investment is actually large

    黃金擁有商品和貨幣雙重屬性使國際黃金價格受多種因素共同作用,因而波動相當頻繁和劇烈,黃金投資的價格風險實際上是很大的。
  11. 6 the contractor will say he has never done anything like this before, sourcing all the special components looks difficult, so he is going to risk price his tender return in case he loses money on the fixed price contract that the client has insisted on

    承包商將一臉茫然,他以前從未做過類似的項目,尋購所有特殊的部產品看上去難度很大,倘若客戶堅持固定總價合同,他將承擔賠錢的風險。
  12. The last factor is opening risk which is attributed to the impact of huge transnational hot money, overseas financial crisis and foreign securities company

    本文先提出了風險指標體系,在對風險綜合評估的基礎上,建立系統風險的監測預警模型。
  13. The whole dissertation has been divided into four chapters. chapter 1 discusses the simplest financial market consist of only one basic risk asset fc and one risk - free asset nfc, the later just means keeping your money in your pocket without any really trading

    全文分四章,第一章討論最簡單的帶風險資產的市場,只由一個最簡單的風險資產fc作為基本風險資產,和一個實際上沒有任何交易的「無風險資產』扣fc (把前留在自己的口袋裡,不進行投資)構成。
  14. National debt national debt is issued by the government assure to repay captital with interest, the risk is spent small, be called " gilt - edged bond ", have cost low, fluidity stronger, reliability is more advanced characteristic ; in national debt 2 extremely do on the market do more empty, those who do is the balance of national debt interest rate and market money rate only, the scope that fluctuates up and down is very little

    國債國債由政府發行保證還本付息,風險度小,被稱為「金邊債券」 ,具有成本低、流動性更強、可信度更高等特點;在國債二極市場上做多做空,做的只是國債利率與市場利率的差額,上下波動的幅度很小。
  15. After years of [ color = red ] loose money [ / color ] in financial markets, some observers think the mortgage morass could cause investors to rethink their attitude to other forms of credit risk, such as high - yield bonds

    一些觀察家認為,金融市場經過多年的頭寸松之後,房貸泥潭可能會使投資者重新思考他們對其他信用風險形式的態度,比如高收益債券。
  16. This paper includes five parts. the first is to review the study on the subject ; the second is to discuss the characteristic of chian ' s stock market. the change of money - admitted policy and the questions on the study. the third is to verify the size effect in china ' s stock market by using correlation test and regression test on the bases of four different criterions, each criterion will be applied with two time - series methods. the fourth is to summary the main character of four different criterions, and apply joint test to the criterions that were proved the best concerning the size effect. the illiquidity risk was introduced to the study, the indexes of turn - over rate and the fluctuation of turn - over were used here. however, other factors that may influence the invest return rate as circulating rate and size were also included. according to the result, the size effect will be interpreted. the fifth is to summary the size effect and its explaination, and then to provide some useful invest strategies based on the conc lusion above

    論文分五部分,第一部分對小公司效應的有關研究文獻進行回顧;第二部分我國股票市場的狀況、資金供給政策的變化和我國股票市場實證的相關問題進行論述;第三部分對我國股票市場的小公司效應按照四種不同的規模標準分類,每一種標準均分兩種不同的統計周期分段標準進行實證分析;第四部分小結不同的規模分類、不同統計周期分段的統計結果特徵,然後對小公司效應最明顯的規模分類標準進行多因子聯合回歸分析,這里引入了流動性風險因素,其用換手率和換手率波動指標來衡量,還分別引入了其它影響投資收益率的因子,分別是規模、流通比例。
  17. It includes the risk of borrowing money, the influence on the future of the company indebt and the legitimacy of the money owned by management

    信息披露在管理層收購中具有重要的意義,主要包括融資風險和對公司持續經營的影響,以及自有資金的合法性等方面的披露。
  18. The correct thought in china commercial banks should be : the bank arranges its asset according to its ability to collect deposits over a long period of time, and reduce reserve as possible as it can to increase the income in a short period of time ; the money borrowed from the interbank lending and borrowing market can only be used to smooth the wave of cash demand in a short period of time ; when the bank arrange its asset and liability for the purpose of liquidity management, the bank must consider income and interest risk all together

    我國商業銀行流動性管理的思路應該是:從中長期看,只能根據銀行吸收存款的能力,來安排資金運用;從短期看盡可能降低備付來提高收益;同業市場的短期借款只能用來做為頭寸調度的「潤滑劑」 ;流動性管理管理必須結合收益、利率風險管理來安排銀行的資產負債結構。本文的題目是:我國商業銀行流動性管理的量化分析。
  19. This arrangement makes it possible for herstatt risk the risk that money might get lost during transactions between different time zones to be eliminated

    換言之,以往因不同時區而招致匯兌損失的可能,亦即所謂的赫斯特風險,已可隨外匯交易同步交收的安排而消失。
  20. The middle and little technological enterprises how to utilize the carve out board to merge money, risk investment how to successful withdraw by the carve out board market, and it will have what kind of influence to our country capital market by establishing carve out board market

    中小高科技企業如何利用創業板進行融資、風險投資如何通過創業板市場順利退出、建立創業板市場對我國現有的資本市場會產生什麼樣的影響?我國設立的創業板市場應該如何運做
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