『壹』 求下面金融英文的翻譯啊:
外國政府貸款,然而,是最重要的投資替代國內政府債券。什麼樣的回報率,和如何危險的是貸款給外國政府在19世紀?表2列出了組合組成的第一個投資信任的外國和殖民地政府trust-as發表在其招股說明書1868。列1,2,和3顯示發行國,優惠券和支付的價格,購買債券信託。這些細節是從scratchley(1875)。4列包含隱含債券收益率。因為成熟的組織債券是未知的,這些收益率計算假設任期20年。可以看出,表,所有(除新星豐業)是折價交易。比較長期政府債券收益率18683.2%,這些收益率反映重大風險溢價。2殖民證券在portfolio-new南威爾士和新星scotia-had最低產量5.08%和5.81%,分別為。這是符合證據提出的凱恩克羅斯(1953,p . 234),英國殖民地幾乎從未拖欠的貸款。最高的收益債券是由政府發行的歐洲南部和東部,與在多瑙河,義大利語,西班牙語,土耳其語和債券在10%以上,而葡萄牙債券接近10%。
『貳』 求幾支基金的標准英文翻譯。
華夏成長:ChinaAMCGrowthFund華夏債券:ChinaAMCBondFund華夏回報:ChinaAMCReturnFund華夏現金增利:ChinaAMCCashIncomeFund華夏大盤精選:ChinaAMCLarge-capSelectFund華夏紅利:ChinaAMCDividendFund華夏穩健增長:ChinaAMCStableGrowthFund華夏回報二號:ChinaAMCReturnIIFund華夏藍籌:ChinaAMCCoreBluechipFund華夏優勢增長:ChinaAMCAdvantageGrowthFund華夏復興:國泰金鷹增長基金金龍債券基金國泰金馬穩健回報基金國泰貨幣市場基金國泰金鹿保本基金國泰金鵬藍籌價值基金國泰金牛創新成長基金
『叄』 求問翻譯大神們 The Company Secretary 是什麼意思,跟債券基金有關的
The Company Secretary
董事會秘書
『肆』 請問股票,債券,基金,期貨的英語怎麼說!還有關於這類金融詞的說法
Stocks, bonds, funds, futures
『伍』 基金名稱的英文翻譯
華夏成長:ChinaAMC Growth Fund
華夏債券: ChinaAMC Bond Fund
華夏回報:China AMC Return Fund
華夏現金增利:ChinaAMC Cash Income Fund
華夏大盤精選:ChinaAMC Large-cap Select Fund
華夏紅利:ChinaAMC Dividend Fund
華夏穩健增長:ChinaAMC Stable Growth Fund
華夏回報二號:ChinaAMC Return II Fund
華夏藍籌:ChinaAMC Core Bluechip Fund
華夏優勢增長:ChinaAMC Advantage Growth Fund
華夏復興:ChinaAMC Rejuvenation Fund
020001 國泰金鷹增長基金 Guotai Jinying Growth Securities Investment Fund
020002 金龍債券基金 Guotai Jinlong Bond Securities Investment Fund
020005 國泰金馬穩健回報基金 Guotai Jinma Stable Return Securities Investment Fund
020007 國泰貨幣市場基金 Guotai Money Market Securities Investment Fund
020008 國泰金鹿保本基金 Guotai Jinlu Principal Guaranteed Value Added Securities Investment Fund
020009 國泰金鵬藍籌價值基金 Guotai Jinpeng Bluechip Value Securities Investment Fund
020010 國泰金牛創新成長基金 Guotai Jinniu Innovation Growth Securities Investment Fund
『陸』 債券型基金英語文獻(急)
以國債、金融債等固定收益類金融工具為主要投資對象的基金稱為債券型基金,因為其投資的產品收益比較穩定,又被稱為「固定受益基金」。根據投資股票的比例不同,債券型基金又可分為純債券型基金與偏債劵型基金。兩者的區別在於,純債型基金不投資股票,而偏債型基金可以投資少量的股票。偏債型基金的優點在於可以根據股票市場走勢靈活地進行資產配置,在控制風險的條件下分享股票市場帶來的機會。
一般來說,債券型基金不收取認購或申購的費用,贖回費率也較低。
債券基金有以下特點:
(一)低風險,低收益。由於債券型基金的投資對象——債券收益穩定、風險也較小,所以,債券型基金風險較小,但是同時由於債券是固定收益產品,因此相對於股票基金,債券基金風險低但回報率也不高。
(二)費用較低。由於債券投資管理不如股票投資管理復雜,因此債券基金的管理費也相對較低,目前我國債券型基金的
(三)收益穩定。投資於債券定期都有利息回報,到期還承諾還本付息,因此債券基金的收益較為穩定。
(四)注重當期收益。債券基金主要追求當期較為固定的收入,相對於股票基金而言缺乏增值的潛力,較適合於不願過多冒險,謀求當期穩定收益的投資者。
To treasury bonds, financial bonds and other fixed-income instruments such as the main investment fund known as bond funds, investment procts because of their relatively stable earnings, also known as the "fixed benefit fund." According to the proportion of different stock investments, bond funds can be divided into pure bond funds and partial Bonds Fund. The difference between the two, not pure debt funds in the stock market, and partial debt funds can invest in a small number of stocks. Partial debt funds in accordance with the advantage of the stock market movements can be flexibility to asset allocation, risk control conditions to share the opportunities offered by the stock market.
In general, bond funds do not charge subscription or purchase, the cost of the redemption rates are lower.
Bond Fund has the following characteristics:
(A) low-risk, low income. As bond funds, the investment target - bond yields stable, the risks are also smaller, therefore, less risky bond funds, but because the bonds are fixed-income procts, relative to equity funds, bond funds low-risk but not the rate of return high.
(2) lower cost. As bond investment management managing complex than equity investments, bond fund management fees are relatively low, our country's bond funds
(C) income stability. Invest in regular bonds have interest returns, e also committed to debt service, and therefore the bond proceeds fund more stable.
(D) focus on current income. ABF mainly seeking more current fixed income, compared to equity funds in terms of the lack of value-added potential, in not too much more suitable for adventure, the current stability of income for investors.
『柒』 hedge funds 如何翻譯
投機性的投資團體
反詐騙條例