查询词典 circulating assets
- 与 circulating assets 相关的网络例句 [注:此内容来源于网络,仅供参考]
-
Our country current industrial economic benefits comprehensive evaluation index system by total assets contribution rate, such seven indexes as capital value preserving and appreciation rate , asset-liability ratio , turnover rate of the current assets , expenses profit rate of the cost , sales rate of the products , overall labour productivity ,etc.
对我国工业经济效益的考核,迄今为止采用的仍是1998年进行试算,1999年按月对外发布的工业经济效益考核指标体系,经过6年多的运行,已经趋于成熟,一些问题却也随之暴露出来。同时,随着工业经济形态向知识经济形态的转变,可持续发展问题日益被人民所重视,客观上对工业经济效益的考核提出了新的要求,故对我国现行工业经济效益考核的指标体系做如下探讨。
-
Chapter 3: we construct a general model of covariance-adjusted duration-convexity immunization to hedge the interest rate risk in the situation that the yield curve doesnt parallel shift and then analyse the model in the case of hedging portfolios of two assets and three assets.
第三章建立一个基于协方差调整的一般久期-凸度免疫模型,用于收益率曲线非平行变动情形下对冲利率风险,并用两资产对冲组合和三资产对冲组合进行特例分析。
-
Item IV.(1) \"Pledged assets included in reserve assets\" comprises securities pledged as initial margins for futures contracts."
"第 IV.1 项「包括在储备资产内的抵押资产」包括作为期货合约首期保证金的抵押证券。"
-
The Collateral Provider, the Pledgor, retains the legal ownership of the assets. The Collateral Pledgee has the right to keep the assets in the Event of Default by the Collateral Provider.
担保提供人,即出质人,保留资产的法律上所有权,担保受让人,即质权人,有权在担保品的提供人违约时保留资产。
-
If excess reserves were deployed in assets with a 3 per cent premium over returns on risk-free assets, benefits could tot up to as much as 1 per cent of gross domestic product for some countries.
如果超额储备所配置的资产回报率较无风险资产高3%,那么对一些国家而言,其收益合计可能高达GDP的1%。
-
Some important vocabulary: trust, sewer, municipal, underwriter, estate, complexity, conceivably, administrator, safe deposit box, signature guarantee, brokerage service, living trust, personal assets, estate tax returns, contingent trustee, probate court, distribute the assets left by a decedent, pay
银行信托部根据公司、个人或政府的委托收受信托存款、办理信托投资、承募证券、管理财产或遗产、为未成年人财产的监护人。
-
We introduce convex,and in particular semidefinite,optimization methods,duality and complexity theory to shed new light to this relation for the single stock problem, given moments of the prices of the underlying assets,we show that we can find best possible bounds on option prices with general payoff funcations efficiently,either algorithmically(solving a semidefinite optimization problem)or in closed form, conversely,given observable option prices,we provide best possible bounds on moments of the prices of the underlying assets,as well as on the prices of the other options on the same asset by sovling linear optimization problems for options that are affected by multiple stocks either directly(the payoff of the option depends on multiple stocks)or indirectly(we have information on correlations between stock prices),we find on-optimal bounds using convex optimization methods,however,we show that it is NP-hard to find best possible bounds in multiple dimensions,we extend our results to incorporate transactions costs,this paper,in theory and practice can provide a reference to researchers and designers about Chinese financial derivative products,the full text is divided into six chapters as follows: ChapterⅠ:Papers on the background and significance of the subjects on a number of option pricing models as well as their advantages and shortcomings of the model and describes the status of research and writing papers and the main contents of the basic idea.
相应地,给定期权价格,也能够出标的资产瞬时价格的最有可能的最好的界。还有通过解决一个线性最优化问题,根据同一标的资产的其他期权的价格来找到这个期权的界值,对于期权受到多种股票价格直接影响(期权的收益依赖于多种股票)或者间接影响(我们有股票之间联系的有用信息),如果使用凸规划方法我们就会发现没有最优的界,也能够证明对于多维情形确实是很难找到最优的最有可能的界值,最后将这一结论推广到考虑交易成本的情况。本文在理论和实践上给我国金融衍生产品研究者和设计者提供一定的参考。全文共分为六章,具体安排如下:第一章:阐述论文的选题背景和意义,介绍期权定价的一些模型以及这些模型的优点与缺点,并介绍国内外研究的现状以及论文的写作基本思路与主要内容。
-
In the face of global economic and financial integration, we should perfect all of the policies and measures of assets securilization and combine the experimental unit and every innovation, design aboratively and avoid unnecessary trouble, so as to promote quick development of assets securi1izat ion.
提出这一问题的原因背景、目的、关注的主要问题、研究的方法、主要创新之处和研究过程中遇到的困难。
-
"Other definitions include ratio of quick assets to current liabilities , ratio of cash plus near-cash assets to current liabilities , and ratio of cash plus accounts receivable plus the market value of selected investments to current liabilities ."
其他定义还有:速动资产与流动负债的比率;现金加近似现金的资产与流动负债的比率;现金、应收帐款和某些投资的市价与流动负债的比率等。
-
The common ratios used in analysis of profitability are the rate of return on stockholders' equity, the rate of return on net sales, the rate of return on total assets, the assets turnover, the rate of return on investment and so on.
在句译、词译中专业词汇在线翻译、专业词典词汇的双语例句以及中英文、英汉句子翻译。1。盈利能力分析常用的比率指标包括股东权益报酬率,销售利润率,资产报酬率,资产周转率,投资收益率等。
- 相关中文对照歌词
- It's Over
- A Toast To The Burning Estate
- Satellite
- Winner
- Pandemic
- Renegade
- Making Music
- It Ain't Easy
- It's A Party
- Play That Shit (Remix)
- 推荐网络例句
-
Pradeep Indulkar, a senior official at the Maharashtra state Home Ministry say 101 human were killed and 287 injured.
马哈拉施特拉邦内政部高级官员Pradeep Indulkar称,有101人在冲突中丧生,287人受伤。
-
Mark Frei, a senior vice president of West, says 80% of West's homeagents have some college education, compared with 30% of those whowork in office-based call centers.
Frei说,该公司80%在家办公的人员都拥有本科学位,而在公司电话中心工作的人中只有30%拥有本科学位。
-
Based on the application of grey forecasting control theory on the hybrid d cable-stayed bridge, the paper puts forward construct control system of the hybrid cable-stay bridge by cantilever assemble construction.
将灰色系统理论和预测控制理论应用于混合梁斜拉桥,提出了悬臂拼装施工的混合梁斜拉桥施工控制体系。