Chinese translation for "cash demand"
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- 现金需求
Related Translations:
- Example Sentences:
| 1. | The former reflected a low opportunity cost of holding non - interest bearing monetary assets and an increase in cash demand from mainland tourists 狭义货币增长,是因为持有不计息货币资产的机会成本偏低,以及内地游客增加令现金需求上升。 | | 2. | In the third and fourth chapter , we give the numerical method of calculating the cash demand function , and we set up the optimal management model of the atm and counter operation 第三、四章建立了atm和银行柜台业务现金备付金优化管理模型,给出了模型参数估计和备付金需求函数数值求解的方法。 | | 3. | The strong growth of the narrow money reflected in part a low opportunity cost of holding non - interest bearing monetary assets as well as an increase in cash demand associated with a rising number of tourists from the mainland 港元狭义货币增长强劲,部分原因是持有无息货币资产的机会成本偏低,以及内地来港旅客数目日增,令现金需求上升。 | | 4. | 2 . from the bank ' s practical vault cash demand of the atm and counter operation , we structure the stochastic inventory model using ( s , s ) policy . on the base of the optimal object function , we completely study the vault cash optimal management problem of bank ' s atm and counter operation 2 、根据atm和银行柜台业务的现金备付金需求,给出了符合银行实际的损溢函数,建立了现金备付金优化管理的( s , s )策略模型,对于atm和银行柜台业务的现金备付金优化问题进行了比较彻底的分析。 | | 5. | We study the bank ' s vault cash optimal management problem in this paper . following the existing research , our contribution is on : 1 . continuing the research of the reference [ 12 ] , we give the numerical methods of calculating the cash demand and the net payout , furthermore we give the method of data mining in the practical calculating 本文研究了银行现金备付金优化管理问题,在前人研究的基础上,本文的贡献主要在于: 1 、继续了文献12的研究,提出了计算现金净支付函数、现金需求函数等的数值计算方法,以及模型参数估计中的数据挖掘方法。 | | 6. | The correct thought in china commercial banks should be : the bank arranges its asset according to its ability to collect deposits over a long period of time , and reduce reserve as possible as it can to increase the income in a short period of time ; the money borrowed from the interbank lending and borrowing market can only be used to smooth the wave of cash demand in a short period of time ; when the bank arrange its asset and liability for the purpose of liquidity management , the bank must consider income and interest risk all together 我国商业银行流动性管理的思路应该是:从中长期看,只能根据银行吸收存款的能力,来安排资金运用;从短期看尽可能降低备付来提高收益;同业市场的短期借款只能用来做为头寸调度的“润滑剂” ;流动性管理管理必须结合收益、利率风险管理来安排银行的资产负债结构。本文的题目是:我国商业银行流动性管理的量化分析。 |
- Similar Words:
- "cash debit slip" Chinese translation, "cash debit voucher" Chinese translation, "cash decision model" Chinese translation, "cash deficit" Chinese translation, "cash delivery" Chinese translation, "cash department" Chinese translation, "cash deposit" Chinese translation, "cash deposit and withdrawal" Chinese translation, "cash deposit as collateral" Chinese translation, "cash deposit in advance" Chinese translation
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