open-end fund中文,open-end fund的意思,open-end fund翻译及用法

2026-04-13 21:59 浏览次数 18

open-end fund

英[ˈəʊpənˈend fʌnd]美[ˈopənˈɛnd fʌnd]

开放型基金,追加型基金

open-end fund 英语释义

英语释义

  • a regulated investment company with a pool of assets that regularly sells and redeems its shares

open-end fund 片语

片语

Open-end fund redemption开放式基金赎回

open-end mutual fund开放型共同基金

our open-end fund我国开放式基金

listed open-end fund上市开放式基金

open-end index fund开放式指数基金

open-end fund performance开放式基金业绩

open-end fund detail开端基金

open- end fund基金

open-end d fund开端基金

open-end fund 例句

英汉例句

  • in this paper the mixed characteristic of open-end fund is analysed, its circulation , as well as circulation risk, is defined.

    本文首先分析了开放式基金资本的混合型特性,然后对流动性和流动性风险进行了界定。

  • closed fund currently in china, but open-end fund is the direction for fund in china.

    我国目前的投资基金是以封闭式为主,但开放式基金是我国基金业未来发展的方向。

  • open-end fund has become the mainstream of investment fund in the world today.

    开放式基金已成为当今世界投资基金的主流。

  • with the development of globalization and world integration, the importance and influence of open-end fund are rising.

    随着世界经济国际化、一体化的发展,开放式基金的地位及其影响力明显上升。

  • if open-end fund wants to control liquidity risk, it is a basic way that tries its best to create excellent performance and control security investment risk.

    发达国家的经验表明,开放式基金要想控制好流动性风险,根本途径就是努力创造优良的业绩、同时尽量控制证券投资风险。

  • therefore, it is important theoretical and practical significance that how to effectively analyze, respond to and resolve open-end fund of market risk.

    因此,研究如何有效地分析、应对和化解开放式基金的市场风险,就具有重要的理论意义和现实意义。

  • this article comes through the concrete investment actual combat example to elaborate the open-end fund investment managing finances six kind of computation analysis method comprehensively.

    通过具体的投资实战例子来全面阐述开放式基金投资理财的六类计算分析方法。

  • open-end fund is one of the most popular financial instruments in the word financial markets and also a main style of financial trust instruments.

    开放式基金是当今世界金融市场上最为流行的金融工具之一,也是金融信托的一种主要形式。

  • open-end fund becomes the lead of the fund industry in the world for its unique advantage different from the close-end fund.

    开放式基金之所以能够成为当今全球基金业的龙头,是在于它有着区别于封闭式基金的独特优势。

  • based upon the above mentioned, financial policies and some suggestions on effective management of open-end fund are put forward .

    并在此基础上,提出了有效管理开放式基金流动性风险的财务对策和相关政策性建议。

  • therefore, the study of china's open-end fund risk and its prevention is of great practical significance.

    因此,研究我国开放式基金的风险及其防范,具有重要的现实意义。

  • the open-end fund are playing a more and more important role in chinese capital market.

    对开放式证券投资基金的风险进行深入细致的研究,具有重要的理论意义和现实意义。

  • above all, conceive the system for open-end fund performance appraisal.

    并在此基础上,构建我国开放式基金绩效评价体系。

  • with the scale of open-end fund continually expand, how to avoid the market risk of asset portfolio and maximize the interests of fund holders that we face new issues.

    随着开放式基金规模的不断扩大,如何规避投资组合的市场风险,使得基金持有者利益最大化为我们提出了新的课题。

  • strengthens the open-end fund marketing ability is a big challenge which the current our country investment funds industry faces.

    加强开放式基金的营销能力是当前我国基金业面临的一大挑战。

  • the reason for that is that open-end fund has many advantages compared with closed fund.

    之所以如此,是因为它与封闭式基金相比具有很多优越性。

  • well, if you hope for capital increment at a low risk, maybe, open-end fund is one of your desirable choices.

    如果您希望低风险低获得资本增值,开放式基金是比较理想的选择之一。

  • finally, to strengthen the management of open-end fund liquidity risk, firms need much help from the government.

    最后,要做好开放式基金的流动性风险管理,还需要政策面的大力支持。

  • because of these kind of uncertainty, it is difficult to forecast the investment orientation of open-end fund in future simply going after the existing style of management company.

    基于这种不确定性,单纯从基金管理公司现有的风格去推测未来的开放式基金的投资取向便有一定难度。

  • the second chapter analyses the troubles that open-end fund in china confronts inthe system environment.

    第二部分则从制度环境的角度分析我国开放式基金发展所面临的困难。

  • in chapter four, a detailed liquidation risk analysis of open-end fund is presented comprising the analysis of investment risks, capital management risks and investor behavior risks.

    第四章系统分析了开放式基金流动性风险的表面成因和深层形成机理及从投资风险、资金管理风险和投资者行为风险三个角度设置流动性风险的预警指标;

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