And banks can fund their expanded asset base because at the same time deposits are attracted into the banks by the comfort of deposit insurance. 银行可以轻易地扩大其基础资产因为存款保险制度解除了存款人的担忧,同时存款被大量吸入银行系统。
Before 2007, credit was available on easy terms to fund asset price bubbles, construction and consumption, private and public. 2007年之前,人们可以以优厚的条件获得信贷,用来支撑资产价格泡沫、建筑和消费,无论是私人还是公共部门。
Active asset allocation is the management of fund's asset class mix of exposures in the context of the investment outlook and the funds objectives, neutral position and range of discretion. 积极资产配置是在综合考虑投资概况,基金目标,中立位置和处置范围等要素下的资产品种管理。
Registering the assets in the name of the custodian or the designated agent in accordance with related laws, regulations, as well as the fund contract or the asset pool management contract; 按照有关法律法规、基金合同和集合资产管理合同的规定以受托人名义或其指定的代理人名义登记资产;
The resulting lack of local appetite for alternatives is becoming almost ingrained in some quarters, believes Blair Pickerell, head of Asia at Japanese fund house Nikko asset management. 日本基金公司日兴资产管理公司(nikkoassetmanagement)亚洲业务主管布莱尔皮克雷尔(blairpickerell)认为,因此导致的对另类投资产品需求的缺乏,在某些地区已经变得根深蒂固。
Both position papers argue that the industry's standard 2 per cent management fee should drop as a fund's assets grow and it benefits from economies of scale, otherwise a fund risks becoming an asset gatherer rather than an asset manager. 两份意见书都辩称,随着基金资产规模的扩大并得益于规模效益,该行业2%的标准管理费应下调,否则基金可能会变成一个资产收集者,而非资产管理者。
Closing prices are typically used, for example, to set mutual fund net asset values, to settle derivatives contracts, for pricing equity offerings or for lending covenants from banks that have taken stock as collateral for loans. 比如说,收盘价通常被用来计算共同基金资产净值,清算衍生品合约,设定股票发行价,或者银行接受股票作为抵押品的贷款合约的定价。
There are about 200 licensed institutions that could potentially run hedge fund strategies: 63 asset management companies, 100 or so brokerages and roughly 20 insurance companies. 中国约有200家获得许可、有可能采用对冲基金策略的机构:63家资产管理公司、100家左右的券商和大约20家保险公司。
In the week that Dominique Strauss-Kahn, head of the International Monetary Fund, said asset bubbles were a cost worth paying for reviving growth through loose monetary policy, China needs to distinguish between good ones and bad ones. 国际货币基金组织(imf)总裁多米尼克斯特劳斯-卡恩(dominiquestrauss-kahn)本周表示,为了借助宽松的货币政策恢复增长,资产泡沫是值得付出的代价,但中国需要区分好的泡沫与坏的泡沫。
The focus of economic theory has changed from commodity pricing to fund pricing and asset pricing, which proves that finance has become the focus of economic research. 经济理论研究的轴心从商品价格过渡到资金价格和资产价格,说明金融已经成为经济研究的核心。
The pension fund is an asset with the nature of liability; so, an investment policy should be required. 养老基金是一种长期债务性资产,应进行必要的谨慎投资,研究表明,谨慎的投资政策往往伴随着较高的再保险水平。
Enterprise or private investment, common fund, the Asset-backed Securitization, etc, all break through the traditional mode, in which government undertakes the whole things. 企业或私人投资、共同基金融资、资产支持证券化等方式都突破了传统的政府凡事大包大揽的方式。
The statistic assessment is for the net value of the fund asset, and the dynamic assessment is for the liquidity of the fund asset. 静态评价是指对基金资产的净值进行评价,动态评价是指对基金资产的流动性进行评价。
It is proved that the model is efficient to the fund asset allocation in China. 研究结果证明了此模型在我国基金资产配置中是有效的。
This paper compares the systems of foreign financial institutions 'market withdrawal, and analyzes the five aspects, i.e., legal framework, managerial body, and resources of saving fund, bad asset management. 本文比较分析了国外金融机构市场退出机制,对法律框架、处置主体、处置手段、救助资金来源、不良资产管理五个方面进行比较研究。
Furthermore, in view of the fund corporations 'asset allocation decisions direct the investment approach of the entrepreneurs, we study the evolutionary game between the fund managers and the latent investors. 此外,考虑到基金的金融资产配置决策将指引着实物资产投资的方向,笔者还对基金经理的资产配置决策和潜在投资者的投资决策进行了进化博奕分析。
The Research of Fund Type Asset Allocation Method 基金类别的资产配置方法研究
Based on his review of the status quo and the foreseeable gap between the income and expense of Chinese pension fund, the author proposes to transfer state corporate interest to pension fund asset, given its necessity, urgency and feasibility. 本文分析了我国基本养老保险基金的收支现状,预测了基金的收支缺口,探讨了划拨国有股充实养老保险基金的必要性、紧迫性及操作设想。
Securities market is becoming the central part of modern market economical system because of its important functions such as fund raising, asset recombination, resource deployment and macro-control, etc. 证券市场因其具有的筹资,资产重组,资金导向与资源优化配置,宏观调控等重要功能,越来越成为现代市场经济体系的核心。
The thesis mainly solve its problems of raising fund, asset value evaluation, risk dispersion and transaction of risky invest stock inborn and immature and growing stage, which is ready and buffering market of the second and main market. 它主要解决中小企业的初创和幼稚阶段的初期及成长过程中的资金筹措、资产价值评估、风险分散和风险投资股权交易问题,是二板市场和主板市场的准备市场和退市缓冲市场。
Finance derivates 'influence on fund asset management business 金融衍生产品对对冲基金资产管理业务的影响
According to relevant laws and regulations, as finance supervision organization, providers should supervise fund, asset, cost, income, benefit distribution and financial report of an enterprise to prevent income on investment from loss. 出资人作为企业的财务监管机构,应根据有关的法律法规对企业的资金、资产、成本费用、收入及利润分配、财务报告五大方面进行监管,以防止出资人的投资利益受损。
With the increasing of pension fund, its asset management is given more and more attention. Moreover, in the process of occupational pension asset management, risk control is one of the most important factors. 随着基金积累规模的逐渐壮大,企业年金资产管理已备受关注,而企业年金资产管理过程中的风险控制是其中重要的组成部分。
It should be noted that, although this paper constructs a basic structure for managing the funded old age pension funds, in many particular issues, such as the pension fund asset allocation and risk management strategies, still need further study. 必须指出,本文虽然系统地提出了一个基金制养老保险基金运作的基本理论框架,但在很多具体问题上,比如养老保险基金资产配置和风险管理的技术策略,仍需要我们进一步深入研究。
The asset allocation of security investment fund is the process that the fund managers decide on how to allocate fund among various asset class. 证券投资基金资产配置是指基金管理人决定如何在可投资的资产类别之间进行分配资金的过程。
Fund manager is a professional mechanism responsible for investment and operation of fund asset, having the right to manage and operate fund asset. 基金管理人是负责基金资产投资运作的专业机构,拥有管理运作基金资产的权利。
In America, Mutual Fund is the one of the biggest financial institution, which charges of the huge fund asset. In 1999, the asset size is 6.84 trillion dollar, which exceed the asset size of commercial bank. 美国共同基金所管理的资产规模,在1999年已达到6.84万亿美元,首次超过商业银行而跃升为最大的金融机构。
The asset allocation of security investment fund is the process how the fund managers decide to allocate fund among various asset classes, and how to dynamically adjust the proportion of each basic investing asset according to short market opportunity. 证券投资基金资产配置过程是指基金管理人如何在可投资资产之间进行长期资金分配,以及如何根据市场短期变化动态调整组合资产比例的过程,资产配置是证券投资基金资产运作过程中的核心环节。
As the direct reveal of changes in fund asset, fund net value indicates the business circumstance of Fund Companies. 而基金净值作为基金价格变动的直观参考指标,反应了基金公司的总体财务状况。
So, for institutional investors, especially for fund managers, asset allocation plays a very important role in increasing the investment performance as well as diversification of risk. 因此,资产配置对于机构投资者,尤其是基金管理人提高投资绩效、分散并且降低投资风险都起着非常重要的作用。