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financial derivative instruments中文是什么意思

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用"financial derivative instruments"造句"financial derivative instruments"怎么读"financial derivative instruments" in a sentence

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  • 衍生品

例句与用法

  • Among so many financial derivative instruments , mortgage - backed securities ( mbs ) in real estate is the most important one
    在诸多金融衍生工具中,房地产抵押贷款证券是最抢眼的一个亮点。
  • The fifth chapter compares the microeconomic and macroeconomic effect of financial innovation . because it is unrealistic to develop financial derivative instruments in our country now , the microeconomic effect ca n ' t show
    第五章比较了金融创新的宏微观效应,由于我国目前发展金融衍生市场不现实,金融创新的微观效应不能凸现。
  • So , to accelerate the electric industry healthily and orderly , systematic study of application of these financial derivative instrument to electricity power market exchange , which is the subject of this paper , is important and urgent
    电力市场中电价的易变性使得各个市场参与者都面临巨大的利益损失风险,如果不加以有效的防范,将会导致灾难性的后果。
  • Chapter five . financial derivative instruments risk management and ias in state - owned commercial bank . this chapter introduces the features , types , essence of financial derivative instruments , and the internal control and audit system for them
    第五章国有商业银行衍生金融工具风险管理与独立审计制度本章主要论述衍生金融工具特征、类型及本质、风险特征及衍生金融工具的内部控制和独立审计的问题。
  • Financial innovation has accelerated the process of the development of world economy and the globalization since 1970s . the number of financial derivative instruments creating from financial innovation and of financial trade , has been increasing very rapidly
    二十世纪70年代以来,金融创新浪潮席卷全球,加速了世界经济发展和全球化的进程。由金融创新引发的金融衍生工具数量及交易额呈爆发性增长,成为西方发达国家金融市场发展的新动向。
  • According to international accounting convention about financial derivative exchange , through strengthening internal risk control and independent auditing financial derivative instruments from the stance of risk managements , the banks can control financial derivative instruments risk efficiently
    依据衍生金融交易会计国际惯例,强化对国有商业银行金融衍生工具的内部风险控制和从风险管理角度对衍生金融工具进行独立审计,可有效控制衍生金融工具风险。
  • Adopting a unique method of information economics , the essay has explained the reason why loan risks rise continuously from the state - owned commercial banks in china , especially its typical and modeling analysis on risks in respect of market , operation and liquidity , which provides prc banks a practical guidance for an overall and systematic analysis on their loan risks . 3 . it has creatively built its option model for preventing credit risks of commercial banks by using option tool and created the financial derivative instruments to prevent risks in respect of loan principal and interest as well as credit default
    第三种是风险客观说与风险主观说, 20世纪20年代,美国学者ah奈特指出“风险是可测定的不确定性” , 1964年美国的小威廉将主观因素引人风险分析,认为: “虽然风险是客观的,但不确定性是主观的” ,在风险主观说中,将风险与不确定性进行了区分,不确定性是指人们在客观情况下,对风险的主观估计,将其称为主观风险。
  • Therefore , research on the relationship between the financial derivatives instruments innovation and financial tax system not only help to enhance our competitiveness in the financial services sector and respond to impact on the financial system by financial instruments rapid innovation , but also establish conductively china ' s financial system which is not contrary to international practice and can progress forward - looking orientation studies to financial tax system of future financial instrument
    因此,对金融工具的创新与金融税制之间的关系进行研究,不仅有利于增强我国金融业的竞争力,应对金融工具的日新月异所带来的对金融税制的冲击,也有利于我国金融税制的建立和健全是朝着既不违背国际惯例,又可以对未来金融工具的税收制度进行前瞻性研究的方向前进。
  • This thesis not only fully analyzes the foreign currency options , especially the deduction of the 8 parameters , but also detailedly illustrates its practical operation in the market . it will strongly guide the operation for individuals , and has both the theoretical meaning and practical meaning in developing and perfecting the financial derivative instrument - - - foreign currency options
    本文不仅从理论上全面的介绍了外汇期权特别是它的评价公式的推导和避险参数的分析,而且对外汇期权在我国的实际应用也做了很深的介绍,在现实中会有很强的指导作用,将对外汇期权这个金融衍生工具在我国的发展和完善起到很重要的理论意义和现实意义。
  • According to me theory of path dependence , the essay finally recommends that strategies and their corresponding measures regarding the implementation of financial derivative instruments should be carried out in china depending on the levels and stages of the then market conditions . the creation of the essay may be outlined into the following aspects : 1 . based on the results of study on financial derivative instruments at home and from abroad , the essay has theoretically clarified the core functions and characteristics of financial derivative instruments by further explaining some issues of financial derivative instruments in a deep - going and comprehensive way and creatively points out that the core function of financial derivative instruments is to eliminate the asymmetrical information , which has theoretically laid a concrete foundation for the implementation of financial derivative instruments in terms of preventing and controlling loan risks of banks
    关于风险的定义,国内外学术界有不同的学说,第一种是损失可能说和损失不确定说, 1895年,美国学者海尼斯( h聊esj )在《 riskasaneconomicfactor 》中,提出“风险意味着损害的可能性” , 1901年美国学者威利特( ahweillet )在博士论文《风险与保险的经济理论》中指出“风险是关于不愿发生事件的不确定性的客观体现” ,在这种学说中对风险的定义有三层含义:一是风险是客观的;二是风险的发生具有不确定性:三是不确定性的程度可以用概率来描述。
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