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Home > chinese-english > "circulating market" in English

English translation for "circulating market"

流通市场

Related Translations:
circulating device:  循环装置
circulating mixer:  循环混合机循环混机
circulating cooling:  循环冷却
circulating opening:  泥浆循环孔
circulated cheque:  周转支票
circulating reflux:  循环回流
circulating store:  循环存储器
circulating evaporator:  循环蒸发器
water circulating:  透平油泵
circulating pipe:  循环管路循环水管
Example Sentences:
1.This article based on the content and came up with a practicable scenario ? to organize state - owned stock circulating market , which ensures the sufficient liquidity of the state - owned stock
文章即是在此基础上提出了从根本上解决国有股权流通的方案? ?建立s股市场,实现国有股权的充分流动。
2.The empirical results show : it is weak to explain the portfolios " return for 6 risk - metric indices , however , the two factor variables , the natural logarithm of average circulated market equity and the average of short - term ( one year ) historical return , are able to expla
实证研究结果发现: 6种风险度量指标对股票组合收益率的解释能力十分微弱,而平均流通市值的自然对数和平均短期( 1年)历史收益率2个因素变量对股票组合收益率的解释能力达到76 . 2 % 。
3.Chapter two , introduce the problems lies in the distribute of equity resource in the issuing market : problems of distribution inside the trade and among the trades , reorganization of listed companies , affection of issuing price to the distribution of equity resource , problems lies in the distribute of equity resource in the circulating market , use of the equity resource of listed company , analysis of distribute of equity resource in the stock market of china , state - owned economics administration system and regulation of stock market
第二章,介绍股票?级市场股本资源配置中的问题:行业内配置的问题、行业间配置的问题、上市公司的重组方式问题、发行定价对股本资源配置的影响;股票二级市场股本资源配置中的问题:配股资源配置的问题、上市公司股本资源使用的问题;中国股票市场股本资源配置的总体效应和原因分析:国有经济管理体制因素、股票市场管理规则因素。
4.By using serial correlation test and cross - section test through the data of the share companies that were listed in shanghai stock exchange before 16th oct 1998 , the size effects in china stock market was tested in the period from 16th oct 1998 to 26th oct 2001 . all the share companies which in total 373 were grouped into 11 according to four different criterions . these four different criterions were total circulating captal stocks , total circulating market value , total capital stocks , total value of a share company . through the correlation test between the abnormal return rate and the size of the group , no size effect was found through the size criterion of the total value and the total circulating value except only one period
运用序列相关性我国股票市场的小公司效应进行实证检验,所采用的样本是在1998年10月16日以前挂牌上市的373家上市公司从1998年10月16日到2001年10月26日,共150周的交易数据。对公司进行以规模大小分组时,分别采用了流通市值、流通股本、总市值和总股本四种不同的标准进行投资超额收益率规模相关性分析,发现以总市值和流通市值为规模标准的实证结果除个别时期内存在着小公司效应外,其它时期并不存在小公司效应,而以总股本和流通股本为标准的小公司效应最为明显;另外,小公司效应在统计区间内表现出时段性。
5.Specially , based on risk - metric and factor variables , the author discusses multi - factor asset pricing model . in theoretical analysis , the author attempts to release the assumption of index ' s random walk , proves a portfolio selection model suitable for the linear index level moreover , based on assets un - exchangeable , the author brings forward asset pricing models for b - shares , h - shares and non - circulated - shares . the author also brings forward multi - factor asset pricing model based on risk - metric indices , such as coefficient of beta , standard variance , standard semi - variance , average absolute deviation , value at risk , and factor variables , such as circulated market equity , exchange ratio , short - term historical return
在理论分析时,作者尝试放松指数水平满足随机游走过程的假设,推导出指数水平呈线性趋势的资产组合选择模型;此外,作者基于资产不可交易这一假设,提出了b股、 h股和非流通股等情形的资产定价模型,并基于系数、标准差、标准半方差、平均绝对离差和风险价值等风险度量指标以及流通市值、换手率、短期历史收益率等因素变量提出了四因素资产定价模型。
6.Chapter three , according to the stated problems and the facts in the stock market of china , give some suggestions for the distribution of equity resource in the issuing market and the circulating market : the way for selection of listed company , the way for control of issuing , refbrm of the way for issuing price , regulating of medium agency and listed company , encouraging the listed company distributing resources by buying and reorganization
第三章,针对上述问题,结合中国股票市场实际,提出优化一级市场、二级市场股本资源配置的建议:上市公司的选择方式、发行规模的管理方式、发行定价方式的改进;规范中介机构和上市公司行为;鼓励上市公司通过兼并、收购、重组等行为优化资源配置;配股管理方法的改进。
7.To the end of december 2002 , there are 15 standardized funds management corporations in china , they manage 54 contractual type close - end securities investment funds and 19 open - end funds . the assets size of securities investment funds in china reaches almost 100 billion yuan , correspond to about 10 % of the circulating market price of shanghai and shenzhen stock markets
到2002年12月底,按规范化要求我国共成立了15家基金管理公司,管理了54只契约型封闭式证券投资基金和19只开放式基金,中国证券投资基金资产规模约1000亿元人民币,相当于沪、深两市流通市值10左右。
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