金融指货币的发行、流通和回笼,贷款的发放和收回,存款的存入和提取,汇兑的往来等经济活动。金融(FINANCE或FINAUNCE)就是对现有资源进行重新整合之后,实现价值和利润的等效流通。(专业的说法是:实行从储蓄到投资的过程,狭义的可以理解为金融是动态的货币经济学。) 金融是人们在不确定环境中进行资源跨...
contentment (n.) 满足感3、sanguine 充满信心的,乐观的4、lingering 徘徊的,挥之不去的 sth. still lingers...物做主语be hunted by...人做主语e.g. sb. is hunted by the idea of doing sth. 做...的想法一直萦绕心头5...
BPS, or basis points, is a unit of measurement utilized to measure things like interest rates and other percentages in finance. But what exactly are basis points and how can you calculate them? Here’s everything that you need to know. ...
What Is a Golden Parachute? What Is a Gold IRA? What Is Guidance in Finance? What Is Gross Income? What Is Globalization? Definition & Impact Good-Til-Canceled (GTC) Order: What It Is, How It Works, Example What Are Green Bonds: Definition and Impact ...
In most organizations, FP&A is part of the finance department and reports directly to the chief financial officer (CFO) or the director or VP of financial planning and analysis. Unlike accounting which focuses on past financial results and regulatorycompliance, FP&A has a forward-looking mission. ...
Dual-write is an out-of-box infrastructure that provides near-real-time interaction between customer engagement apps in Microsoft Dynamics 365 and finance and operations apps. To get started with dual-write, see the Dual-write home page.October...
The sharp economic downturn and turmoil in the financial markets, commonly referred to as the "global financial crisis," has spawned an impressive outpouri... R Ball - 《Journal of Applied Corporate Finance》 被引量: 174发表: 2009年 Systemic Credit Risk: What Is the Market Telling Us? The...
In most organizations, FP&A is part of the finance department and reports directly to the chief financial officer (CFO) or the director or VP of financial planning and analysis. Unlike accounting which focuses on past financial results and regulatorycompliance, FP&A has a forward-looking mission. ...
The gradient of the line is its beta. So a gradient of 1 indicates that for every unit increase in market return, the portfolio return also increases by one unit. A money manager employing a passive management strategy can attempt to increase theportfolio returnby taking on more market risk ...
You may choose to hold and manage your portfolio yourself, or you may allow a money manager, financial advisor, or another finance professional to manage your portfolio. Key Takeaways A portfolio is a collection of financial investments like stocks, bonds, commodities, cash, and cash equivalents...