asset allocation造句
例句与造句
- When discussing the allocation among sectors , the author makes the point that the recognition of business cycle is the foundation and starting point of asset allocation among sectors
关于股票资产的行业配置决策,作者研究结论指出,经济周期识别是机构投资者进行行业资产配置的基础和出发点。 - In research on the style allocation to stock asset , the author concludes that the style allocation is an unneglectable part in the whole asset allocation decision of institutional investors
关于股票资产的风格配置决策,作者研究结论认为,股票风格配置是机构投资者资产配置决策中不可忽视的重要组成部分。 - The exchange fund s long - term asset allocation strategy is governed by the investment benchmark approved by the financial secretary after consultation with the exchange fund advisory committee efac
外汇基金的长期资产分配策略受到投资基准的规范,这投资基准是由财政司司长经徵询外汇基金谘询委员会的意见后核准。 - The liquidity crisis of the open - end fund has been known for several years , and as a factor affecting the liquidity of fund , the asset allocation is came to the theory and the fund managers ’ attention
开放式基金的流动性风险已经为大众所知,而资产配置作为影响基金流动性的因素之一,一直受到理论界和基金管理人的关注。 - The necessity and feasibility of asset allocation and how to employ asset allocation scientifically and efficiently is at the frontier of theory and practice of modern security investment
关于机构投资者实行积极资产配置的必要性和可行性,以及如何科学高效地实行积极资产配置决策问题,是当代证券投资理论和实践中的前沿问题。 - It's difficult to find asset allocation in a sentence. 用asset allocation造句挺难的
- The exposure of the exchange fund to hong kong equities has been considered , in the elaborate strategic review undertaken at the end of 1998 to optimise asset allocation for the exchange fund , to be far too high
根据我们在1998年底就外汇基金最适当的资产分布所作的详尽策略性检讨结果,外汇基金就港股所承受的风险被视为过高。 - As usual , this was achieved through prudent deviations in our asset allocation against the benchmark , involving the maintenance of an overweight position in certain asset classes and underweight in others
一如以往,外汇基金是透过采取审慎策略偏离基准组合的资产分布来取得上述成果,具体上包括增持某些类别的资产而减持另一些类别。 - The long - term asset allocation strategy of the fund is governed by the investment benchmark , which defines the allocation of investments to different asset classes by country as well as the overall currency mix for the fund
外汇基金的长期资产分配策略须受投资基准规范,后者订明外汇基金对各国资产类别的投资比重及整体货币分配。 - As to the foundation for strategic asset allocation , the author holds the view that the unfolding of business cycle should be the theoretical foundation and starting point of asset allocation for institutional investors
关于战略资产配置的依据,作者研究结论指出,机构投资者战略资产配置的理论依据和基本出发点是经济周期的变迁。 - This paper introduced the risk budgeting at first . it elaborated the meaning of risk budgeting , and stated the course of risk budgeting and the traditional asset allocation , and compared with each other
本文首先对风险预算进行了介绍,阐述了风险预算中的风险含义,并陈述了风险预算与传统的资产配置的过程,对两者之间的进行了比较。 - We know that priorities vary from client to client . our priority is to help you identify what matters most to you , explain your investment risks and work with you to set the appropriate asset allocation
我们深明客户有不同的优先目标,而我们的首要使命乃协助您认清个人的财政状况及投资取向,为您阐释各种投资风险,与您共同制订合适的资产组合。 - 3 the term " wealth management business " refers to a securities firm , through its associated persons , providing a high net worth customer with services such as asset allocation or financial planning , according to the demands of the customer
三、财富管理业务系指证券商针对高净值客户,透过业务人员,依据客户需求,提供资产配置或财务规划等服务。 - Furthermore , in view of the fund cor porations " asset allocation decisions direct the investment approach of the entrepreneurs , we study the evolutionary game between the fund managers and the latent investors
此外,考虑到基金的金融资产配置决策将指引着实物资产投资的方向,笔者还对基金经理的资产配置决策和潜在投资者的投资决策进行了进化博奕分析。 - Two new courses , fund management and asset allocation as well as banking and finance practicum , are offered to provide a bridge between the classroom and the real world of the banking and finance industries
本课程不断革新,精益求精,配合不断变化的市场需要,新增科目包括基金管理与资产分配,及银行与金融实习,旨在将校园所学的知识与金融市场结合。 - Externally and internally managed portfolios are evaluated against the assigned benchmark . the division engages in detailed performance attribution analyses to identify the skills of investment managers to enhance effective asset allocation
此外,风险管理及监察处也进行详细的投资表现因素分析,以评核基金经理的投资管理技术,使资产分配更为有效。