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期货保证金的英文

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"期货保证金"怎么读用"期货保证金"造句

英文翻译手机手机版

  • cover costs
  • credit costs
  • futures cash deposit
  • futures margin

例句与用法

  • Chapter two : output the principles and examples of dynamics margin calculation
    最后点明期货保证金制度设置的意义:保证金制度作为
  • The main content and viewpoints are as follows : chapter one : futures margin system research
    一.全文共分为三大部分:第一章:期货保证金制度研究,分为三节进行阐述。
  • The article deems that any principles , rules , and even operational customs shall be the necessary components of the margin requirement
    本文认为与期货保证金运作相关的原则、规则、甚至操作惯例都是保证金制度的应有内容。
  • The theoretical framework focuses explicitly on tail returns , thereby properly computing prudent margin level for large levels of risk , this paper finds : ( 1 ) the assumption of normality to impose a smaller margin level since the presence of a fat - tail
    通过实证研究,建议将gpd下的市场风险度量作为确定我国股指期货保证金水平的依据,且借助copula方法,运用组合的观点进行风险控制,并根据市场风险变化特征进行动态调整。
  • Along with a price limit and capital requirement , the existence of a margin decrease the likelihood of a customer defaulting , a broker going bankrupt and systemic instability of the futures market . this paper applies sub - theories of generalized pareto distribution inherited from extreme value theory to examine the margin policy for price extremal movements
    本文运用极值理论的广义帕累托分布( gpd ) ,对以上证180指数和深证100指数为标的的股指期货保证金进行了研究,并且将之与正态分布假设下的保证金水平进行比较。
  • As the capital by a future trader submitted in accordance with certain future exchange rules for the purpose of settlement and performance guarantee , margin is attached to a future transaction from the beginning to the end . margin is essential to the determination of legal relationships among different future transaction parties . in a simple future agent relationship , the realization of the ownership of margin requires the assistance from the agent in the preparation period of a future transaction
    保证金作为期货交易者按照规定交纳的用来结算和担保履约的资金,贯穿于期货交易的始终,对期货交易各主体间不同的法律关系确定具有重要意义;在单纯的期货经纪业务中,期货保证金在交易准备阶段的保证金所有权实现需要存管者的辅助;在交易阶段,保证金作为买卖对价也表现出与一般买卖标的不同的特点。
  • ( 4 ) the proxy of the appropriate threshold using an expected shortfall can capture well the extreme price movements and can be an excellent risk measure instrument to set the prudent margin level . ( 5 ) controlling risks using a perspective of portfolio through applications of copula function should be included in the margin policy
    在股指期货保证金方面,简单介绍了目前两种主要的设置保证金水平的方法:第一种设置方法是将保证金作为外生变量“建立一个经济模型来决定保证金水平” ,例如, brennan ( 1986 )提出一个
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