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我国基金业
相关语句
  china fund industry
    Both Tradition Collusion Hypothesis(TCH)and Efficient Structure Hypothesis(ECH)are invalid in China fund industry.
    传统的有效结构假说和共谋假说对我国的基金业均不成立,而修正的有效结构假说能较好地反映我国基金业的市场绩效与市场结构之间的关系。
短句来源
    Through detailed empirical research on long-term performance of close-ended funds and medium-term performance of open-ended funds, we can soundly understand the facts of China fund market, observe the operation of China securities market, realize the behavior and function of institution investor, and promote canonical development of China fund industry.
    本文通过对我国封闭式证券投资基金长期业绩和开放式证券投资基金中期业绩进行详尽的实证研究,可以全面了解我国基金市场实际状况,深入观测我国证券市场的运行,深化对机构投资者行为与作用的认识,促进我国基金业的规范发展将有着重要的实践意义。
短句来源
  “我国基金业”译为未确定词的双语例句
    Market Structure-Conduct-Performance of Investment Fund Industry in China:An Empirical Analysis Based on Data from 1999 to 2004
    我国基金业的SCP分析:来自1999—2004年数据的实证
短句来源
    Empirical Study on the Use of Investment Portfolio Insurance Strategy in Domestic Mutual Fund Company
    投资组合保险策略在我国基金业运用的实证研究
短句来源
    Our country mutual funds develop fast, urgently anticipates one comprehensive and effective funds achievement appraisal system which suits Chinese fund development.
    我国基金业的快速发展,迫切期待一个适合中国基金发展的全面、有效的基金业绩评价系统。
短句来源
    Open-end mutual funds have been the mainstream form of the global investment mutual fund industry and the developing direction in the future of the mutual funds industry in China.
    开放式基金已经成为全球投资基金的主流形式,也是我国基金业的未来发展方向。
短句来源
    After that, more funds of new style continue to come forth, which followed and promoted the development of China’s fund industry.
    之后,我国的创新基金产品不断涌现,伴随并促进了我国基金业的发展。
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The fund industry of China has developed swiftly in recent years.The theory of investment of value advocated the enormous approval of the market with the increased demand appraised for investment risk of fund in the society.How to quantify the risk of investment portfolio has already become an urgent issne concerned by financial institutions and investors.This paper utilizes VaR method to carry out the positive research on investment portfolio with its application to the portfolio evaluation.

近年来我国基金业发展迅猛,其所倡导的价值投资理念获得市场的巨大认同。与此同时,社会上对基金投资风险进行评价的需求日益强烈。如何量化基金投资组合的风险,已成为金融机构及投资者共同关注的问题。利用风险度量的VaR方法,对基金投资股票组合的风险进行实证研究,探讨其在组合风险评价中的应用。

The market structure of fund industry in China is transforming from a monopoly one to a combination of both monopoly and competition.This has an important effect on the conduct of fund industry.This paper points out by an empirical analysis,that the administrative barriers and the unreasonable fee rates system bring great profits to our fund management company,but have not given enough return which fund investors are supposed to have.Both Tradition Collusion Hypothesis(TCH)and Efficient Structure Hypothesis(ECH)are...

The market structure of fund industry in China is transforming from a monopoly one to a combination of both monopoly and competition.This has an important effect on the conduct of fund industry.This paper points out by an empirical analysis,that the administrative barriers and the unreasonable fee rates system bring great profits to our fund management company,but have not given enough return which fund investors are supposed to have.Both Tradition Collusion Hypothesis(TCH)and Efficient Structure Hypothesis(ECH)are invalid in China fund industry.Adjusted Efficient Structure Hypothesis can explain better the relationship between market structure and market performance in our fund industry.This paper also brings up some advice.

我国基金业的市场结构正由寡占型向竞争型转变,这对规范和完善我国基金业的市场行为起到了一定的积极作用。但是,现有的基金业制度在给我国基金公司带来高额利润的同时,并没有给投资者带来相应的投资回报;传统的有效结构假说和共谋假说对我国的基金业均不成立,而修正的有效结构假说能较好地反映我国基金业的市场绩效与市场结构之间的关系。为更好地发展我国基金业,政府应逐步放宽基金市场准入,并改革现有费率制度和基金发行制度;基金公司应提高自身的内部经营效率和投资组合的风险管理水平,从而提高基金业的市场绩效。

With the research on factors influencing bond investment fund achievement,this text analyzes the relation between fund achievement and fund manager.By researching the manager's market situation and their personal characteristics,we find the fund manager's personal characteristics which affect the fund achievement.In the end,this text adopts quantitative analysis method and builds a model to carry on the related coefficient analysis and regression analysis respectively. We detect that Chinese fund industry is...

With the research on factors influencing bond investment fund achievement,this text analyzes the relation between fund achievement and fund manager.By researching the manager's market situation and their personal characteristics,we find the fund manager's personal characteristics which affect the fund achievement.In the end,this text adopts quantitative analysis method and builds a model to carry on the related coefficient analysis and regression analysis respectively. We detect that Chinese fund industry is still in the initial stage, some factors of fund manager's personal characteristics have important influence to the fund achievement.

本文在国内外有关影响证券投资基金绩效因素研究的基础上,定性分析了基金业绩与基金经理之间的关系。通过研究我国开放式基金经理的市场状况、个人特征,并以此为基础找出影响基金业绩的基金经理个人特性,再采用定量的方法,通过构建模型,进行相关系数分析和回归分析。发现我国基金业还处于发展初期,不成熟,基金经理个人特性中的某些因素对基金业绩有重要影响。

 
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