1. 理財產品中的T+0是什麼意思
T+0就是當天賣出股票獲得的資金在當天就可以買入股票、當天買入的股票在當天就可以賣出(T+0交易),而買賣成交實際發生當天證券和資金就清算交割完成(T+0結算)。
嚴格來講,「T+N」的概念其實應該是指結算制度的,而在我國市場投資者之間談論的通常則是「T+0交易」,兩者並不能混為一談。「T+N」的第一個「T」,在英語中為「Transaction」(買賣交易);
該詞隱含著投資者雙向交易證券的權利是對等的,即投資者在當天既可以先賣後買又可以先買後賣。因此,對於海外證券市場來說,T+0交易是一項基礎性交易機制,反映了投資者買賣交易權利的對等。
事實上,T+0交易並不需要將結算制度也修改為T+0結算,兩者並不存在法律和實際操作上的沖突。我國A股市場是T+1交易、T+1結算,而美國等海外其他市場大部分是T+0交易、T+2結算的。
(1)回籠資金英文擴展閱讀:
t+0操作要講究操作原則,要注意趨勢。當所持股票上升達到一個高點,將要發生回撤時,要避免接下來的大幅下跌,這樣的下跌一般是不回頭的,殺傷力很大的。
分析時注意時間和趨勢的結合,趨勢也就是方向的變化需要時間來確認,只有注意到時間變化的關系,才可以把握走勢的准確變動點。在每個趨勢下的操作次數,在上漲的趨勢里,操作次數可以頻繁;
因為高點是逐漸抬高的,勝率要大一點,在下跌趨勢中做的好的可以是跟隨股價的下跌,自身的成本也在不斷降低,可以叫換倉。
換倉操作避免一種誤區,上漲時換倉可以有一點盈利,下跌時換倉很難保持成本攤低,特別是超過10%的下跌,解決的辦法是判斷大的趨勢,減少操作次數。
減少操作次數的方法:當大勢和個股都配合上漲時,可能會收陽線,如果個股沒有出現過份拉高行為,差價則難以產生,減少操作;中陰線出現時,第二天還會有低點出現,如果手中沒有倉位,減少操作,有倉位,需要尋找機會減倉。
2. T0是什麼意思
「T+0到賬」指的就是在POS機清算業務中,指的就是工作日當天到賬(一般為周一至周五10:00-18:00),T+0結算業務指甲方作為商戶收單機構在銀聯卡支付受理服務中,於銀聯卡交易發生當日將乙方的結算資金劃入乙方指定的結算賬戶,並收取相關服務費用的特殊結算處理業務,簡單來說,T+0指工作日刷卡當天到賬,節假日延後。
「T」代表trade,是指交易日、經營日,由於POS機清算業務中,銀聯結算都是在周一到周五等法定工作日,周末和節假日不屬於T日(交易日);
「D」代表Day,是指自然日,包括周末和節假日;
「+0」的含義是指資金清算時間為本日,而非實時到賬;
「+1」的含義是指第二天/第二個工作日
「T+1到賬」指的就是在POS機清算業務中,當天的交易第二個工作日到賬(一般為周一至周五10:00-18:00),這也是銀聯規定的正常的資金清算模式。
「D+1到賬」指的就是在POS機清算業務中,當天的交易第二個自然日到賬,包括周末和節假日,結算時間一般為10:00-18:00。
「D+0」指的就是在POS機清算業務中,只要發生交易,無論是不是交易日,節假日也好,銀行休息也好,均可以實現當天到帳。
對商戶而言,一般T+0以及D+0手續費通常一般比T+1和D+1要高一點(具體看情況而定),T+0和D+0是第三方支付墊付的資金。
3. 求翻譯成英文
Unbalanced offer refers to a project bid price quotations in worthing basic finalized, how to adjust internal various projects to improve quotation, neither does not affect the bid-winning price, and can get more ideal in settlement of economic benefits. The basic principle of unbalanced offer is to keep the normal quotation level under the condition of the total price remains unchanged. It is relatively conventional balance offer speaking, in general offer unchanged for the premise, compared with the normal level, improve some subdivisional work unit, and at the same time, rece other subdivisional work unit price of a quotation method. Exam | trial/big the purpose of nearly early recovery situation, increasing liquidity to construction liquidity turnover, On the other hand is to gain extra profits.
Unbalanced offer method range of applications
General can consider using in the following aspects: the unbalanced offer completed work higher price, late completed work lower quote, Expected future quantities will increase the project, unit price, so that in the final appropriately raised when settle accounts can make more money, but the quantity can rece project unit price is reced, engineering settlement loss is little; No quantities of work submitted to high, Implementation possibility large temporary work higher price, implementation may small newspaper low-cost, Drawing is not clear, estimate quantities to be added after modification, can improve the unit price, and project content commentary unclear, it may be appropriately reced some monovalent, stay after clarification can be in demand increasing, Any projects or select project, for these projects will be concrete analysis. Because this kind of project to start by owner again after deciding whether implementation, and by those home contractor implementation. If the project was not subcontract, then one sure to do unit price higher, different custom-made to some lower, if subcontracts a project, this tentative program likely also by other contractors when construction, unfavorable quote price, lest raise total price, Anyone who opted by project, its price quotation to project high price. Anyone who opted to program unit and only project without engineering quantity, adjustable high its price.
Unbalanced offer method in tender offer the effect of application
Money collecting ahead of time
In 2002, the supreme people's court announced "contract law" the 286 bar engineering funds preferred payments from the right of judicial explanation, but soon recovered engineering funds, rece enterprise self-capital is occupied is still current each contractor very concern. After commencement, except the advance payment outside, finish every single project are going for the advance money. Because of project funds in the settlement is commonly according to the construction progress, on bidding when quoting can put boq first completed work content high, the unit price adjustment after completion of the content of the work unit price down. Although behind the unit price may lose money, but because of the execution of the contract has retracted prophase cost and rece the internal management of funds occupy, be helpful for construction liquidity turnover, financial strain capacity, also improved so long, guarantee the final project in profit.
Using this method can not only offer balance and relieve the contractor financial pressures problem, still can make the contractor in engineering while the disputes arising are in a strong position, therefore, claims and guard against the risk of meaning. If contractor permanently earned more than spending condition, appeared in the other breach of contract or not controlled factor of cases, the initiative is in the hands of mastering the contractor, reced the contractor on site working staff pressure, in the future construction also advantageous, can form a virtuous circle.
4. 資金回籠 英文怎麼翻譯
withdrawal of funds from circulation
take out funds
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5. 貨幣凈回籠的英文是什麼
withdrawal of currency from circulation
廣義的講貨幣回籠是指國民經濟各部門向銀行存入現金的過程和結果。
中國國民經濟各部門在其經濟活動中所收入的現金,一般都按國家現金管理的規定,除保留必要的庫存備用金外,都要存入其開戶銀行。居民的個人收入,國家也鼓勵儲蓄。銀行將各部門、各單位和城鄉居民存入銀行的現金按不同類別分項編列現金回籠計劃。現金回籠的渠道有::(1)「商品回籠」,通過增加商品供應,擴大銷售收入回籠資金;(2)「服務回籠」,通過提供勞務和服務回籠資金;(3)「財政回籠」,通過財政稅收收入,例如徵收個人所得稅,自行車牌照稅等回籠現金;(4)「信用回籠」,通過銀行收回貸款,例如,收回農貸、個體工商戶貸款回籠現金。在銀行現金收入已定時,可以通過壓縮現金支出,實現現金回籠,如減少行政管理費用支出,壓縮集團購買力等。
通常指現金的回籠,即銀行現金收入大於現金支出,意味著減少流通過程原有的現金數量。積極組織現金回籠,可以收迴流通中過多的貨幣量,保證市場現金流通量同消費品供應量相適應,有利於貨幣流通的穩定。另外,如果把活期存款也作為貨幣時,貨幣回籠則指流通中減少的現金和活期存款。
6. MBs是什麼意思是抵押貸款支持證券嗎他是出售給什麼投資者的
抵押貸款支持證券
住房抵押貸款證券化
抵押支持證券
按揭抵押證券
個人住房抵押貸款支持證券(MBS,英文全稱是Mortgage—backed
Securities)是一種將個人住房抵押貸款作為基礎資產的信貸資產證券化產品。MBS實質上就是將商業銀行個人住房貸款的一次再抵押,通過證券化後的交易,商業銀行可以大量回籠資金,解決當前在我國商業銀行中普遍存在的「存款期限短於貸款期限」的問題。從而,在一定程度上化解了商業銀行的流動性風險。
7. 股票做t是什麼意思
是指已經持有想要做T的那隻股票,而該股票在做的那天先跌後升專,股民在低位買屬了,趁拉高後賣出原來擁有的股票,那就即達到賺錢的目的也拉低了成本。T+0交易。通俗地說,就是當天買入的股票在當天就可以賣出。下面兩種情況都叫做T:
如果手裡有資金,當天開盤下跌,則可以低位買進,等股票沖高後,把原先的籌碼賣出,這樣總持股數保持不變。
如果當天開盤上漲,而預計盤中可能會跳水,則可以再高位先賣出一部分股票,等下調的時候再接回(買進),總量仍然保持不變。
(7)回籠資金英文擴展閱讀
T+0,是國際上普遍使用的一種證劵(或期貨)交易制度。凡在證劵(或期貨)成交當天辦理好證劵(或期貨)和價款清算交割手續的交易制度,就稱為T+0交易。通俗說,就是當天買入的證劵(或期貨)在當天就可以賣出。
T+0交易曾在中國證劵市場實行過,由於證券市場不成熟,造成市場價格異常波動,為了保證證劵市場的穩定,中國上海證券交易所和深圳證券交易所對股票和基金交易實行「T+1」的交易方式。
8. 幫忙翻譯成英文 謝謝
A) in financial security, actively raising money for the target
In recent years, our company proction situation, sales income, up recovery, profits and rise sharply in successive, sufficient funds. But in recent years because of my company in the proction scale expands unceasingly, in order to guarantee the normal proction company, 2006, our company actively change over a single, on commercial bank with bank of China has established in China, and the relationship between the credit bank loans 3000 yuan. Therefore, in the second half of 2006 state macro-control, credit-tightening circumstance, our company can maintain normal.
(2) to benefit as the goal, ensure key expenditure
The ultimate goal of enterprise is reflected in the benefits. Therefore, I try to adhere to the guiding ideology of ".
1 and when the bank loans to companies in the choice, not only should notice its interest rates are high or low, more should notice its service quality and efficiency. My company in 2006, compared with the bank loans, credit him only 8 yuan will rece interest payments. Everyday I company bills discounting, always "shopping", choose the most preferential interest rate, the fastest bank.
2, 2006, the company built a 4000 square meters workshop and the assembly at the office, technological equipment purchased parts, my department in the modernization of key projects to ensure the expenditure, actively guide other use of unit pay more attention to use efficiency, optimize capital expenditure structure.
(3) in the system construction of high-quality curriculums, broaden the coverage of institutional constraints
9. 應收款回籠英語怎麼說
應收款回籠
Account Receivable Collected
◆應收賬款 = Account Receivable
◆其他應收款= other receivables