1、

It has been trading at a per cent discount to its net asset value per share.

相比于其每股净资产,公司股价有68%的折让.

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2、

Dickson Sezto is the founder and CEO of INSITE Asset Management Group Ltd.

司徒文聪先生是盈石资产管理有限公司的创始人兼执行总裁(CEO)。

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3、

In that, MS Ortega looks like an asset.

从这种意义上来讲,奥特葛女士就好像只是一个赌注。

provided by jukuu

4、

However, in May it sold a total of 21% of the sport, for$ 1.6 billion, to three institutional investors: Waddell& Reid and BlackRock, both American asset managers, and Norges Bank Investment Management, Norway's state money manager.

但是在五月,CVC将16亿美元即总资产的21%卖给了三个团体投资人:同为资产管理者的Waddell&Reid和黑石,还有挪威银行投资管理——挪威的国家资金管理者。

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5、

As Lassiter said, look for mutual funds that allow you exposure to asset classes that aren't related to each other.

说的那样,看看那些共同基金,那么你就可以找到那些没有太大关联的资产类别。

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6、

Empirical examination methods is a classical BJS method, this is using time series inspection capital asset pricing model, a method of most posterity continue, many domestic and foreign scholars have used this method.

实证检验所采用的方法是经典的BJS方法,这是利用时间序列检验资本资产定价模型后人沿用最多的一个方法。

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7、

All that weighs on asset efficiency, or the sales Prada generates for every euro of assets.

这一切都对普拉达每欧元资产所产生的销售额(即资产效率)造成压力。

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8、

Prada is truly a trophy asset.

Prada是真正意义上的炫耀性资产。

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9、

However, very quickly, half of NPLs were written off without a fuss, and the other half were taken off balance sheet, sold to government-funded Asset Management Companies ( AMC) at par for gradual resolution.

然而,半数不良贷款很快波澜不兴地被核销,另一半则被剥离资产负债表,平价出售给政府出资成立的资产管理公司(AMC),由后者慢慢消化。

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10、

The Statistical Research on Asset-Liability of Commercial Banks in Our Country

我国商业银行资产负债统计研究

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11、

Through VB Tools and data extraction technology, we designed the Asset Liability management system to control the risk of currency, interest and maturity in daily banking operation.

本系统通过VB编程与数据挖掘技术相结合,实现了银行资产负债比例管理,可以有效地控制风险。

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12、

Structure analysis and design of asset and liability in Commercial Bank

商业银行资产负债结构分析和设计

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13、

The thesis sets up optimal model of Asset-Liability-Management under the constrain of VaR. This model directly makes use of historical data of earning ratio to reflect the income and risk, so the defect of calculating portfolio risk indirectly is avoided.

建立了基于VaR约束的银行资产负债管理优化模型,直接利用贷款收益率的历史数据反映收益与风险,避免了间接推测组合风险的弊端。

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14、

Optimal model of asset-liability-management based on constraint of VaR technology

基于VaR约束的银行资产负债管理优化模型

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15、

The traditional asset-liability management method, gap management, can solve the former problem, but have no way to handle the latter.

传统的资产负债管理方法:缺口(gap)管理,只能解决前者而对后者无措。

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16、

On the Establishment of Asset/ Liability Management of Commercial Banks

加速建立现代商业银行的资产负债管理体系

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17、

The existing literatures focus on central bank financial rescue measures by the change of central bank asset struction and scale, but pay no attention to the liabilities.

已有文献中对中央银行资产负债表的分析集中于通过央行资产结构和规模的变化考察央行不断创新的金融救助措施,而对负债方关注很少。

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18、

Compared with non VC-IPO firms, syndicated VC-IPO firms have statistically significant better operating results and lower asset-debt ratio from pre-IPO to one year after IPO; and in the second year after the IPO, there is no significant difference.

从IPO前两年到IPO后第一年,联合VC-IPO企业比non VC-IPO企业经营业绩更好、资产负债率更低,统计上显著;在IPO后第二年,没有显著差异。

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19、

The empirical results show that, from pre-IPO to post-IPO, there is no statistically significant difference in business performance and asset-debt ratio between VC-IPO and non VC-IPO firms.

实证结果显示,在IPO前和IPO后,VC-IPO企业与non VC-IPO企业之间经营业绩无显著差异,VC-IPO企业资产负债率更低,统计上不显著。

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20、
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