policy portfolio 中文意思是什麼

policy portfolio 解釋
政策職責
  • policy : n 1 政策,政綱;方針,方向;方法。2 策略;權謀;智慧;精明的行為。3 【軍事】政治,行政。4 〈蘇格...
  • portfolio : n. (pl. portfolios)1. 紙夾;文件夾;公事包。2. 部長[大臣]的職位。3. 〈美國〉有價證券一覽表[明細表];(保險)業務量[業務責任]。4. (藝術家等的)代表作選輯。
  1. The participation policy holder can enjoy the surplus of dispensability. the surplus of dispensability is the profits which the life insurance company manages. the surplus of dispensability are adjusted in such way that the performances of life insurance company on the investment portfolio

    分紅保險的一般特點是按照相對保守的精算假設設定較高的費率,而將每年該類保險產品產生的盈餘按照一定的分配標準以分發紅利的方式分配給客戶。
  2. To reduce the basis risk, this thesis offers a compound hedge policy on stock index futures and deduces the expressions of the hedge ratio in two instances when the cost is same or restricted. this paper analyses the investments of pension fund from 9 - 6 - 2003 to 7 - 10 - 2003, then it demonstrates the stock portfolio of pension found by the goal program model

    為了降低套期保值交易的基點差風險,本文提出了利用多種股票指數期貨對股票組合進行復合套期保值的策略,並給出了套期保值成本相同和限制套期保值成本兩種情況下的套期保值率公式。
  3. In the self - settlement business, there exists policy - legal risk, market risk and portfolio risk

    自營業務面對的風險主要有政策法律風險、市場風險和經營決策風險。
  4. Of the functions of the development bureau which the chief executive earlier proposed to set up ; whether the work of this bureau will overlap with that of the existing housing, planning and lands bureau and of the environment, transport and works bureau " etwb ", whether the government will reshuffle the responsibilities of the above two policy bureaux ; and to avoid giving members of the public the impression that the government only cares about development and neglects conservation, whether the government will consider setting up an environmental protection bureau with dedicated responsibility for environmental protection work, which currently falls within etwb s policy portfolio, so that the government can take forward environmental protection efforts in a more focused and independent manner ; if not, of the reasons for that

    二行政長官早前提出成立的發展局的職能該局與現時的房屋及規劃地政局和環境運輸及工務局"環運局"的工作會否重政府會否重組上述兩個政策局的分工以及為避免給予公眾人士政府只顧發展而忽略保育的印象,政府會否考慮同時成立環境保護局,專責處理現時由環運局負責的環境保護"環保"工作,以便政府更能集中和獨立地推動環保若不會考慮,原因為何
  5. As the participation policy includes the minimum interest rate guaranteed and the annuities of the participation policy are variable based to the reward level of investment portfolio, so the measurement of the participation policy is different from the traditional life insurance product. it embeds a put option

    在分紅保險的定價中,一般假設更高的預期死亡率、經營費用、退保率,更低的預定利率等,但將這些精算假設定到什麼程度為合適,要依各公司自己的經驗而定。
  6. The thrust is to investigate both theoretically and empirically the role of financial structure in the process of monetary transmission. setting out this kind of objective raises immediately the question of balance. the first two chapters aim to provide the theoretical frontier and as well an analytical framework in a portfolio - balance general equilibrium model for the role of financial structure in the transmission process of monetary policy

    總之,本論文通過系統的理論檢索和對資金流量帳戶、美聯儲frb / us和英國英格蘭銀行mm的考察,提出了一個資產組合一般均衡模型框架;在該框架內,從理論和實證兩方面研究了金融結構及其在貨幣傳導過程中的影響,特別是對貨幣政策反應函數、貨幣傳導的利率渠道和信貸渠道的影響。
  7. Mr. augustine chu, chairman, sino golf holdings noted, " the restructuring of an overseas customer last year is an isolated case, but we have already tightened our credit policy further to enhance the quality of our customer portfolio

    順龍控股有限公司主席朱振民指出:集團上年度面對的問題屬單一事件,集團已採取更審慎的信貸政策,提升客戶質素。
  8. At last the research gets an efficient portfolio which include different weighting shares. the efficient portfolio should be able to guide investor to judge the region shares " character and the profit of share combination, and direct the distribution of investment capital. in the end, the article still forecasts these companies " prospects and the macro - policy ' s trend or change

    採用markowitz模型測算股票組合的收益、方差,試圖能通過各股權重的變化尋求有效證券組合,而該有效組合應能指導投資者對該地區的個股股性的優良與否、對該組合的收益預期性進行判斷以及對投資資金的分配給予指導,同時亦討論了西部上市公司的發展前景以及宏觀政策取向。
  9. ( 4 ) the proxy of the appropriate threshold using an expected shortfall can capture well the extreme price movements and can be an excellent risk measure instrument to set the prudent margin level. ( 5 ) controlling risks using a perspective of portfolio through applications of copula function should be included in the margin policy

    在股指期貨保證金方面,簡單介紹了目前兩種主要的設置保證金水平的方法:第一種設置方法是將保證金作為外生變量「建立一個經濟模型來決定保證金水平」 ,例如, brennan ( 1986 )提出一個
  10. Given that the scope of the health, welfare and food bureau " hwfb " s existing policy portfolio is too wide, whether the government plans to restructure the bureau and hive off some of its functions ; if so, of the details of the plan ; if not, the reasons for that

    鑒于現時生福利及食物局"福局"的工作范疇眾多,政府有否計劃重整該局的架構及分拆其部分職能若有,計劃的詳情若否原因為何
  11. F commerce and economic development : the policy portfolio of the previous commerce, industry and technology bureau was merged with closely related areas of the previous economic development and labour bureau and expanded to cover matters relating to tourism, consumer protection, creative industry and competition policy

    (六)商務及經濟發展:過往由工商及科技局所負責的政策已與經濟發展及勞工局相關的政策合併,並加以擴大,涵蓋旅遊、保障消費者權益、創意產業及競爭政策事宜。
  12. He will also oversee plans and programmes implemented by the environmental protection department, the electrical and mechanical services department, the agriculture, fisheries and conservation department and the drainage services department for his policy portfolio with a view to achieving and maintaining a healthy and pleasant environment for the hong kong people

    他亦肩負監管環境保護署,機電工程署,漁農自然護理署及渠務署就其職責范疇制定的計劃及方案,致力為香港市民構建及營造一個更健康,更優美的環境。
  13. Objective and background this paper deals with the effectiveness of the two channels in sterilized intervention : portfolio balance channel and expectation channel, analyzes their effectiveness in case of china, and deducts policies which should be taken to improve the effectiveness of the sterilized intervention in china. foreign exchange intervention is critical for foreign exchange rate policy. it aims to counteract the shock to the foreign exchange rate, and bring it to the reasonable place determined by the fundamental variables when the actual exchange rate is far away from the equilibrium point

    一、研究目的和背景本文將從理論上考察沖銷干預的兩種渠道? ?資產組合平衡渠道和預期渠道的有效性,並結合中國的沖銷干預實踐,分析這兩種渠道在中國外匯沖銷干預的有效性和在未來的可持續運用空間,最後得出提高沖銷干預有效性,實現匯率穩定和貨幣政策不受匯率政策干擾雙重目標,並盡量避免沖銷干預給經濟帶來負面影響的政策建議。
  14. The hypothesis of actuaries about riskless interest and performance of investment portfolio and the level of minimum interest rate guaranteed could influence the expenses of the participation policy

    這些精算上的假設將明顯地影響分紅保單純保費定價,從而影響保單的售價及公司的售價與經營。
  15. Finally, there is no certain special timing policy based on firm size in the course of investment according to the 10 - portfolio pattern ' s empirical result

    最後,在進行規模組合投資過程中不存在某種特殊選擇時機。
  16. Aiming at product development process, three detail problems are analyzed and investigated deeply, namely a method for the choice of product development project, risk analysis in the concurrent product development process, and the policy of market entry. firstly, a new integrated method for the choice of product development project is presented , integrating absolute concentration curves and analytic network process. the paper establishes a model for the choice of product development project including network subsystem, emphasizes the product portfolio management, especially the relativity of the presented product and the new product

    針對產品開發項目的選擇方法提出了一種綜合評判方法,集成絕對優勢曲線方法和網路分析法,建立具有網路子系統的產品開發項目評價選擇系統模型,著重考慮了新產品與現有產品的相關性;在產品并行開發中的風險分析方面,以分析兩階段并行開發的時間函數和成本函數為基礎,建立時間風險和成本風險模型,以兩者的加權和為目標函數;在產品投放市場策略方面,從分析投放時機和投放市場的規模選擇入手,建立了綜合投放策略模型,提出四種投放策略分別適用於四種類型的企業,並且指出市場投放策略要兼顧投放后的應對策略,包括資源供給問題和后繼產品開發問題。
  17. On every 5th policy year up to age 80, if the market value of your portfolio is higher than your current total withdrawal benefit, we will increase your guaranteed withdrawal benefit

    直至80歲或之前的每五個保單年結,如您投資組合的市值高於當時的保證提取總額,您的保證提取總額將可獲提升。
  18. Due to the immaturity of the stock market of china, there is certain amount of the irrational investment, as well as the frequent adjustment of the policy, the value stock portfolio strategy can not be taken directly into our country

    由於中國股票市場尚處于初級階段,非理性投資行為還有相當比率,以及股票市場的政策經常調整,受到以上原因的制約,不能照搬其他國家的價值投資策略。
  19. Thirdly, portfolio risk policy making of smes " loan. through analyzing the limitation of portfolio risk policy making mechanism of restricting personal loan quota in theory and actual operation it advances analyzing marginal risk of newly increased loan combining the former research conclusion

    分析了我國通過限制單個借款人最大借款限額來進行組合風險決策在理論和實際操作上的缺陷,結合我國前人研究成果提出建立分析新增貸款的邊際風險來進行中小企業貸款組合風險決策。
分享友人