| 1. | Banc of america securities asia limited 第名美国银行证券亚洲有限公司 |
| 2. | Reflections on the universal operation of china ' s banking and securities industries 关于我国银行证券混业经营的思考 |
| 3. | Shares will be delivered to your securities account with american express bank 股票将存入您的美国运通银行证券户口。 |
| 4. | Due to the demand for working space , people often sees the appearing of the lcd among the banks , financial , securities in the news report 如果你曾注意过新闻报导中国外的银行证券等金融业的办公室,由于空间需求大,便可常看到lcd 。 |
| 5. | This will allow banks , securities houses and their customers to have seamless transactions between equity , bonds , derivatives and foreign exchange 这样,银行证券公司和它们的客户就能够完全经由电脑系统买卖股票债券衍生工具和外汇。 |
| 6. | This thesis consults foreign experience and jointly analyzes the market of china and other countries , and gets a experienced model for hunan industrial and commercial bank 本文参考国外银证关系发展的规律,结合中国银证关系发展的历程,研究湖南工商银行证券类客户管理的经验和模式。 |
| 7. | The insurance securitization in 1990s followings after the banking securitization in 1980s , will impose great influence on the development of the instance industry , even the whole financial industry 继80年代银行证券化后于90年代出现的保险证券化,将对保险业甚至整个金融业的发展带来重要影响。 |
| 8. | This in turn ensures that the same approach and standards will be applied by the hkma to banks in relation to their securities business as those applied by the sfc to the brokers , and so achieves a level playing field 此外,这也可确保金管局对银行证券业务所采用的模式及标准,与证监会对经纪采用的相同,藉此维持公平的经营环境。 |
| 9. | Chow , the head of the securities department of wing lung bank as well as a responsible officer of wing lung futures , instructed his three subordinates including ho , to carry out the arrangement without taking sufficient steps to verify its legality 周身为永隆银行证券部主管兼永隆期货的负责人员,指示包括何在内的三名下属执行该安排,但却没有采取充分步骤以核实该安排是否合法。 |
| 10. | An sfc investigation subsequently revealed that , between april 2003 and may 2004 , ho was an assistant manager supervising the san po kong sub - section of the securities department of wing lung bank . he and his two subordinates were not licensed by the sfc for dealing in futures contracts 证监会的调查其后发现,在2003年4月至2004年5月期间,何是监督永隆银行证券部新蒲岗分组的助理经理,他与两名下属并无获证监会发牌进行期货合约交易。 |