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equity securities
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  “equity securities”译为未确定词的双语例句
     Now, their legitimate rights and interests are subject to an unprecedented threat in the face of systemic risk on the release of the equity securities market hours Purchase this issue and the most significant institutional change.
     如今,在面临解决股权分置问题这一证券市场最重大制度性变革和系统性风险集中释放之时,他们的合法权益更是受到了空前的威胁。
短句来源
     This paper reviewes the basic framework of modern option pricing theory. The equity securities and debts issued by a corporate firm can be regarded as options on the firm s assets, Approaches that option theory is used to price stocks and bonds are analyzed, The benefit relationship between shareholder and debtee in corporate finance decision is dscussed.
     介绍了现代期权定价理论的基本框架,阐明了公司股票和债券是基于公司资产的期权,分析了用期权理论给股票、债券定价的方法,讨论了公司金融决策中股东和债权人之间的利益关系.
短句来源
     So the debt and equity securities can be valued with options pricing approach. The Black--Scholes Options Pricing Model is reviewed, and itS application in corporate securitiesvaluation is analyzed in this paper.
     本文介绍了最典型的期权定价模型──布莱克一肖尔斯期权定价模型,分析了该模型在公司证券价值评估中的应用。
短句来源
     in the 1990s, the source shifts to equity securities for these listed companies;
     20世纪整个90年代,已上市的公司大都以发行股权证券为主要的外源资金来源;
短句来源
  相似匹配句对
     Establishment of Equity Incentive Model in Securities Company
     证券公司建立股权激励模式的设计
短句来源
     EFFECTS OF EQUITY STRUCTURES ON THE GOVERNING MECHANISMS OF SECURITIES COMPANIES
     股权结构对证券公司治理机制的影响
短句来源
     On securities fraud
     论证券欺诈
短句来源
     On Equity and Efficiency
     公平和效率
短句来源
     On Securities Crime
     证券犯罪论
短句来源
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  equity securities
115 modified classification of debt and equity securities held by firms and also modified the reporting format for unrealised gains/losses on security transactions (URGL).
      
This study introduces new domestic mixed-asset and international equity securities that allow for exact portfolio replication even by small U.S.
      
We find that the standard empirical predictions and results for fixed income securities extend to equity securities.
      
We use recent developments in financial statement analysis research to construct a measure of duration for equity securities.
      
It is apparently a widespread belief among policymakers that a well-diversified pension portfolio of equity securities provides an effective long-run hedge against liabilities of defined-benefit pension plans, so that there is no mismatch problem.
      
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This paper reviewes the basic framework of modern option pricing theory. The equity securities and debts issued by a corporate firm can be regarded as options on the firm s assets, Approaches that option theory is used to price stocks and bonds are analyzed, The benefit relationship between shareholder and debtee in corporate finance decision is dscussed.

介绍了现代期权定价理论的基本框架,阐明了公司股票和债券是基于公司资产的期权,分析了用期权理论给股票、债券定价的方法,讨论了公司金融决策中股东和债权人之间的利益关系.

The debt and equity securities issued by a corporate firm can be viewed in principle as options on the firm's assets. So the debt and equity securities can be valued with options pricing approach. The Black--Scholes Options Pricing Model is reviewed, and itS application in corporate securitiesvaluation is analyzed in this paper.

公司股票、债券在本质上可看成是基于公司资产的期权,因而可用期权定价方法对其价值进行评估。本文介绍了最典型的期权定价模型──布莱克一肖尔斯期权定价模型,分析了该模型在公司证券价值评估中的应用。

Listed companies show an obvious tendentiousness in selecting financing forms from external aids in different period. In the 1980s, this major capital source comes from issuing enterprise bonds, besides loans; in the 1990s, the source shifts to equity securities for these listed companies; since the beginning of this century, it turns from centralization to decentralization. Grasping this rule is important, for both government and market should adjust the changing. This paper holds that government functions...

Listed companies show an obvious tendentiousness in selecting financing forms from external aids in different period. In the 1980s, this major capital source comes from issuing enterprise bonds, besides loans; in the 1990s, the source shifts to equity securities for these listed companies; since the beginning of this century, it turns from centralization to decentralization. Grasping this rule is important, for both government and market should adjust the changing. This paper holds that government functions in a guiding or controlling position, while security market acts as a referee to judge government behaviors.

上市公司在不同时期选择的外源融资方式具有较强的倾向性。20世纪80年代除了银行贷款外,发行企业债券是企业的主要外源资金来源;20世纪整个90年代,已上市的公司大都以发行股权证券为主要的外源资金来源;本世纪初以来,上市公司外源融资方式开始由集中走向多元化。发现能够被各方接受的规律与规则是至关重要的,为此,政府与市场这两只手必须控制转换的方向盘,政府要发挥关键的引导与支配作用,同时证券市场则是政府行为的裁判官。

 
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