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Category Archives: Health Care & Medical

Wang Xuehong obsessed with VR HTC head into the industry misunderstanding 天津职业大学贴吧

Wang Xuehong obsessed with VR HTC head into the industry misunderstanding In the days before the end of the MWC2016, after the beginning of the CES2016, VR once again become the focus of the industry. In the intelligent mobile phone industry struggling for its HTC VR equipment HTC  release Vive listing price, once again led the industry for its future in the market prospect of VR and the current intelligent mobile phone business is important debate. However, from the recent remarks of Wang Xuehong, HTC’s chief executive, it is possible that HTC will fall into a new industrial misunderstanding. First of all, let’s see what Wang Xuehong has said recently HTC  CEO Wang Xuehong said in an interview with the Daily Telegraph of the UK: "now we become more realistic, and HTC will focus on more areas. Smart phones are important, but the importance of smartphones is not comparable to smart wearable devices and VR devices." When the media asked Wang Xuehong, HTC , VR business and mobile phone business which is more important, her answer is, the two are equally important. And last December 18th she denied HTC’s strategy to give up mobile phone business, and described HTC , Vive as an extension of the mobile phone business. Inside the industry unconfirmed insider, when you report with Wang Xuehong mobile phone business related work, she does not want to listen, but you talk to her about VR, talk about Vive head, she is very excited. We extracted above only is part of the media (including domestic and overseas) Wang Xuehong set the tone for the VR service. Put it at least as important as smartphones. So the question is, is the VR market really as good as Wang Xuehong sees it, or is there any reason for HTC to be successful in the VR industry at least in the early days? From the overall VR market, is still in the initial stage, even if the next few years, it will usher in a large outbreak, that is, the size of the future of the VR market, many statistical agencies are given different numbers, one of the most conservative estimate of 2020 its market size is only 2 billion 800 million dollars, while the most optimistic is expected by 2020, VR market value will reach $70 billion (of which the hardware market reached $20 billion, the software market reached $50 billion). Here, we can according to the most optimistic forecast, intelligent mobile phone industry and digital HTC hard at doing according to statistics, last year the market size of the intelligent mobile phone market for $400 billion, for this year, according to research firm IHS, in the mobile phone industry revenue growth of 1.1% this year, only under the circumstances, the market size is still will reach $373 billion 100 million, that is to say the intelligent mobile phone industry even in the case of slowdown, the market space is much larger than VR, at least in the next few years is so. No wonder the industry has commented on the analysis, Wang Xuehong obsessed VR, for HTC is "lost watermelon picking sesame", more importantly, even if Wang Xuehong insisted on "lost watermelon picking sesame", this "sesame" for HTC is not necessarily so good pick up. How do you see it? ) 王雪红痴迷VR HTC掌门陷入产业误区?   在日前结束的MWC2016上,继年初CES2016之后,VR再次成为业内关注的焦点。其中在智能手机产业步履艰难的HTC因其VR设备HTC Vive上市价格的发布,再次引发了业内对于其未来在VR市场前景及其与当下智能手机业务孰轻孰重的争论。不过从HTC掌门人王雪红近期的言论看,其有可能让HTC陷入新的产业误区。   首先我们看看王雪红近日都说了些什么?   HTC CEO王雪红在接受英国《每日电讯报》采访时表示:“如今我们变得更加现实,HTC会将精力投入到更多的领域。智能手机虽然很重要,但现下其重要性已经无法和智能穿戴设备与VR设备相比了。”   当有媒体问王雪红,HTC VR业务和手机业务哪个更重要时,她的回答是,二者同等重要。而她去年12月18日也否认HTC战略放弃手机业务,而将HTC Vive形容为是对手机业务的延伸。   业内未经证实的内幕,当你跟王雪红汇报手机业务相关的工作时,她不愿意听,但你跟她谈VR、谈Vive头显,她则非常兴奋。   我们上面仅是摘录了部分媒体(包括国内和海外)王雪红对于VR业务的定调。至少将其放在与智能手机同等重要的位置。那么问题来了,VR市场真的如王雪红看到的那般美好或者说HTC在VR产业中有何至少是初期可以成功的因素吗?   从整体VR市场看,还处在初级阶段,即使未来几年它能迎来大爆发,需要说明的是,针对未来VR市场的规模,诸多统计机构给出了不同的数字,其中最保守的预计是2020年其市场规模也不过只有28亿美元,而最乐观的预计则是到2020年,VR市场价值将达到700亿美元(其中硬件设备市场达到200亿美元,软件市场达到500亿美元)。这里,我们不妨按照最乐观的预计数字与HTC步履艰难所处的智能手机产业做下比较,据统计,智能手机市场去年的市场规模为4000亿美元,至于今年,据研究机构IHS称,在今年手机行业收入只增长1.1%的情形下,整个市场规模仍会达到3731亿美元,也就是说智能手机产业即便是在增速放缓的情况下,其市场空间比VR也要大得多,至少在未来若干年内是如此。难怪业内有分析评论认为,王雪红痴迷VR,对于HTC来说是“丢了西瓜捡芝麻”,更为重要的是,即便是王雪红执意要“丢西瓜捡芝麻”,这“芝麻”对于HTC来说也未必那么好捡。何以见得?   众所周知,在目前的VR市场中,与HTC VIVE齐名的推出的VR厂商主要有Facebook、三星、谷歌、索尼。而这些厂商与HTC相比均具备一定能够不同的优势。   例如在整个事关未来VR生态系统的开发者应用支持方面。据来自GDC 的官方统计针对2000名开发者的相关调查显示,他们中的大部分把Facebook的 Oculus VR 作为开发应用的首选平台,即Oculus 占比达到 19%,其次是三星 Gear VR 为8%、谷歌的Cardboard 为7%、HTC Vive 和索尼各占 6%。而在未来准备“尝试”的开发者中,选择Oculus Rift比例高达77%,然后依次是谷歌Cardboard 为46%;三星的Gear VR 为31%;索尼的PlayStation VR 为21%;HTC Vive 为19%。从上述的统计不难看出,在目前主流的5家VR厂商中,在生态系统发展初期最为关键的开发者支持上,HTC均处在垫底的位置。   除了生态系统之外,在初期的设备搭配上,HTC不具优势。例如目前索尼PS4的存量是3600万台,几乎是满足要求PC的3倍,且这个数字仍在迅速增长,这也是为何外界认为在VR发展初期,索尼的PlayStation VR可能会首先成功的主要原因。而三星鉴于其在智能手机市场庞大的用户基数,其主要面向手机VR体验的Gear VR设备的销量也不容小视,也就是说,与索尼和三星相比,尽管VR定位不同,HTC并不具备与之相配或者说可以借力的用户基数和设备保有量。   最后就是价格。继Facebook旗下的Oculus公布了其 Rift VR设备599美元的定价之后,HTC在日前结束的MWC2016上也公布了旗下虚拟现实头盔HTC Vive的价格为799美元,比遭受价格诟病的599美元起的Oculus Rift还要贵。虽然王雪红从体验和配置的角度解释了定价过高的原因,但业内都知道,要想实现王雪红或者充分发挥HTC Vice的最佳体验,与之相配套的PC必不可少,那么这类PC的价格应该是多少呢?   在年初的CES大展上,惠普公司推出了HTC VIVE首款“官方认证虚拟现实专用”的游戏PC ENVY Phoenix,这款游戏PC内置2TB的硬盘,英特尔Core i7 K系列处理器(带惠普的超频功能),且用户能够根据自身需求来选择AMD或者NVIDIA显卡,用户能够最高选择NVIDIA GeForce GTX 980 Ti或者AMD Radeon R9 390x,起售价格1699.99美元。二者相加将达到2500美元左右。如果说之前业内所言的目前PC中仅有1%左右的配置符合诸如Oculus Rift和HTC Vive这类依靠PC设备(均价在得到VR体验所需的硬件要求,从而被业内认为整体价格是普及障碍的话,那么这种障碍在HTC Vive身上体现得更为明显。即PC+VR设备的总体价格比同级别的Oculus Rift要高出400美元左右。   提到价格,我们这里不得不提及谷歌的Cardbaord,据称其目前的销量已经突破500万,而其最大的杀手锏就是价格。相对于市面上其他的虚拟现实设备,谷歌采用纸板的做法为其带来了极低的成本投入,它甚至可以便宜到让《纽约时报》向它的订阅者发送这款设备,并且它还能跟现已经存在、为用户所熟悉的软件很好地融合。尽管严格意义上说,Cardbaord还不能算是真正的VR设备,至少与HTC Vive相比有着不小的差距,但作为一个产业发展初期且并未被证明是市场和用户刚需的情况下,价格的作用就显得异常关键。    回望HTC从兴到衰,除了所谓的创新之外,对于营销的忽视或者说不当也是导致HTC在手机市场被营销高手三星反超,直至最终衰落的主要原因。到了新的VR产业,除了前述因素之外,HTC在智能手机产业中弱营销的短板依旧没有改变,这从VR初期的营销中已显端倪,尤其与老对手三星相比。   例如今年第88届奥斯卡颁奖典礼,赠送的礼包内就有一副Gear VR以及配套的三星智能手机,而这部手机预装WeVR制作的内容,包括虚拟现实热门影片《Waves》和《Hard World for Small Things》,同样,在日前结束的MWC2016上,三星在发布会现场通过虚拟现实(VR)技术发布了新款手机Galaxy S7,即为了让发布会现场的每个人都能亲身体会到VR效果,三星在每个座椅上都准备了一部自己的Gear VR眼镜,还请来Facebook公司CEO扎克伯格为其站台。相比之下,我们至今仍未看到王雪红痴迷的VR给业内和市场留下了什么具有深刻印象的营销事件。   综上所述,我们认为,王雪红此次痴迷VR再次陷入了一个新的产业误区,并导致其盲目和自信,而在这种盲目和自信中,智能手机依然是主营业务的HTC在去年累计营收为1216.84亿元新台币(约为240.7亿元人民币),同比下滑35.2%。同年12月营收额为65.16亿元新台币(约为12.9亿元人民币),环比减少36.6%,同比减少57%,这使得HTC在2015年全年,毛利率、每股亏损2项财务数据均创上市以来最低。而在今年的1月份,HTC营收64.8亿元新台币(约为12.7亿人民币),同比下滑47.23%,环比减少0.2%,在缺乏主力机型的情况下,HTC 1月营收再创10年新低。这意味着在未来,HTC的智能手机业务将很难为HTC的转型(例如VR设备和生态)提供很好的支撑,相反倒是VR的投入会进一步加重HTC的压力,造成“西瓜和芝麻皆失”的后果。(孙永杰)相关的主题文章:

Category Archives: Health Care & Medical

Bad digestion period the main futures contract month retreat 佛洛伊德照相馆

Bad digestion period the main futures contract month retreat – reporter Zhang Lijing by overseas market "black Friday", yesterday, the domestic market shares, and bonds fell across the board. The stock index futures market, three varieties all closed green plate, as of the close, the three main futures contract, IF1609 fell 2.43%, IH1609 fell 1.86%, IC1609 fell 3.06%; far month contracts are all down, some of the main contract contract of more than. The weakening of macro environment on Friday, known as the "fear index" of the Chicago Board Options Exchange Volatility Index (VIX) rose 40% to two month highs, the biggest gain since a referendum on Britain back in europe. The reason is that the DPRK nuclear test and the Fed’s dovish speech caused heavy sell-off by investors, and the international oil price and the US stock market plunged. The domestic market opened Monday, pessimism spread, three index futures fell across the board. But some analysts believe that the overseas market from the macro environment of A shares some impact, but the A shares market itself, the negative factors have been digested, the market pressure ability, the material does not appear continuous sharp decline in the situation. China Sea Liang period refers to the delivery by the overseas market analyst Cheng Zhaohong said, "black Friday", the stock index, and commodity bond market fell across the board, the VIX index rose, the panic has increased, but there is no need to panic too much, the shock to maintain high point of view, there are four reasons: first, from the economic fundamentals, the data show that in August the economy is still in a weak recovery process, the replenishment rate probably will usher in a quarter of 2-3, the other PPP superposition financial force, material listed company’s three or four quarter results or improved liquidity; secondly, August inflation is lower than expected, but the Fed rate hike up factors such as inhibition of easing, expected short-term remained neutral monetary policy; third, the strict supervision of continuous fermentation, will inhibit the short-term rebound in risk appetite; fourth, from the basis of view, since July basis repair The recovery is still in progress, leaving the bottom to maintain a concussion, and there is no obvious sign of panic expansion. Shift positions accelerated release from selling positions, the index of the total positions changed little, the futures delivery date approaching the next month contract both sides accelerated shift positions. The specific data, IF1609 contract positions 21263 hands, lighten up 6802, IF1610 month contract positions 15022 hands, Masukura 4735 hands; IH1609 contract positions 9971 hands, lighten up 1948, IH1610 month contract positions 6674 hands, Masukura 1630 hands; IC1609 contract positions 16207 hands, hand to lighten up 2650 month contract positions 8874 IC1610 hands, Masukura 2989 hands. "The data released from the gold member positions, short main part of profits, short-term market sell-off eased." LUZHENG futures futures analyst Wang Wei said that the slump in the external market and domestic weekend bearish news situation broke the trend A stock index in recent continuous shocks, on the surface of the theme and the weight plates are weak, brokerage, theory

利空消化期 期指主力退守次月合约   □本报记者 张利静   受海外市场“黑色星期五”影响,昨日国内市场股、期、债全线下跌。股指期货市场三品种全部报收绿盘,截至收盘,三大期指主力合约中,IF1609跌2.43%,IH1609跌1.86%,IC1609跌3.06%;远月合约亦全部下跌,其中部分合约跌幅超过主力合约。   宏观环境弱化   上周五,被称为“恐慌指数”的芝加哥期权交易所波动率指数(VIX)大涨40%至两个月高点,创英国退欧公投以来最大涨幅。原因是朝鲜核试验及美联储鸽派言论造成投资者大举抛售,国际油价及美股市场大跌。周一国内市场一开盘,悲观情绪蔓延,三大期指全线下挫。   但相关分析人士认为,海外市场从宏观环境上对A股造成一定影响,但就A股市场本身来说,目前对利空因素已经进行消化,市场承压能力较强,料不会出现连续大幅下挫的情况。   国海良时期货期指分析师程赵宏表示,受海外市场“黑色星期五”影响,内盘股指、商品、债市等全线下跌,VIX指数大涨,恐慌情绪有所上升,但没有必要过于恐慌,维持高位震荡观点,理由有四点:首先从经济基本面来看,8月数据表明经济仍处于弱复苏进程,大概率会迎来2-3个季度的补库,另叠加财政PPP发力,料上市公司三四季度业绩或有所改善;其次流动性方面,8月通胀虽低于预期,但美联储加息升温等因素抑制宽松政策,料短期仍维持中性货币政策;第三,监管从严持续发酵,短期仍将抑制风险偏好的回暖;第四,从基差上看,7月份以来的基差修复仍在进行中,目前脱离底部维持震荡,没有出现明显的恐慌情绪扩大迹象。   移仓加速 抛压释放   从持仓来看,期指总持仓变化不大,期指交割日临近使得多空双方加速向下月合约移仓。   具体数据来看,IF1609合约持仓21263手,减仓6802手,次月IF1610合约持仓15022手,增仓4735手;IH1609合约持仓9971手,减仓1948手,次月IH1610合约持仓6674手,增仓1630手;IC1609合约持仓16207手,减仓2650手,次月IC1610合约持仓8874手,增仓2989手。   “从中金所公布的相关会员持仓数据来看,空头主力部分获利离场,短期市场抛压有所减轻。”鲁证期货期指分析师王威表示,外围市场的暴跌以及周末国内消息面偏空的形势打破了近期A股指数连续震荡的态势,盘面上题材与权重板块表现均较弱,券商、有色等板块领跌,周一市场全天缺乏像样的反弹,市场人气较为低迷。从数据上来看,近期久居高位的抛压得到了一定的释放,但盘中主力出货坚决,短期若大单流出变缓则有望迎来反弹。   “技术上看,沪指放量下跌破多条均线,盘中多次资金背离却无像样反弹,尾盘权重股小幅拉升险守60日均线,当前较为弱势,后市或继续下探考验3000点支撑。”王威说。 进入【新浪财经股吧】讨论相关的主题文章:

Category Archives: Health Care & Medical

Yao Jingyuan opportunities for structural adjustment of China’s economy – Sohu Finance 女检察官许婷

Yao Jingyuan: China is economic structural adjustment opportunity – Sohu on 18 February, Xinhua Finance Beijing (reporter Liu Hui) the State Department counselor researcher Yao Jingyuan said 18 days, the China economic shift in the growth period, there are opportunities for structural adjustment. Yao Jingyuan on the same day China journalists held a news Cafe said that employment is the people’s livelihood, in the larger context of economic downward pressure, China still completed about 13000000 new jobs last year, far more than the beginning of the 10 million employment target. He believes that with the "public business, forming a highly innovative social atmosphere, the number of registered enterprises increased sharply in 2015, an important reason for this is to obtain employment" report card ". On the other hand, with the proportion of China’s third industry to GDP rising to 52%, the gradual optimization of the industrial structure has created more employment opportunities. Yao Jingyuan pointed out that the China economy contains structural adjustment opportunity, through the adjustment can prevent deeper problems, but also the economic development of our country to regulate their own results. As long as we hold the bottom line of risk prevention and actively adapt to the rapid economic growth, China’s economic growth will be more quality and efficiency in the future." Author: Liu Hui, Xinhua News Agency)

姚景源:中国经济蕴藏结构调整机遇-搜狐财经   新华社北京2月18日电(记者刘慧)国务院参事室特约研究员姚景源18日说,目前中国经济处于增速换挡期,蕴藏着结构调整机遇。  姚景源在当日中国记协举办的新闻茶座上表示,就业是民生之本,在经济下行压力较大的背景下,我国去年依然完成新增就业1300多万,远超年初1000万的就业目标。他认为,随着“大众创业,万众创新”社会氛围的形成,2015年企业的注册数量大幅增多,这是取得就业“成绩单”的重要原因。另一方面,随着我国第三产业占GDP比重升至52%,产业结构逐步优化也创造出了更多的就业机会。  姚景源指出,中国经济蕴藏着结构调整机遇,通过调整可以防止更深层次问题的产生,也是我国经济发展自身调节的结果。“只要守住了防风险的底线,主动去适应经济中高速增长,今后中国经济增长将更有质量和效益。”  作者:刘慧来源新华社)相关的主题文章:

Category Archives: Health Care & Medical

Shang Fulin put forward four requirements for the Bank of China to continue to promote functional up 哈尔滨金融学院怎么样

Shang Fulin put forward four requirements for the Bank of China, and continued to promote the function to promote China’s economic network Beijing September 13th hearing this afternoon, the two session of the seventh session of the China Banking Association Conference held in Beijing. Shang Fulin, chairman of the China Banking Regulatory Commission, attended the meeting and delivered an important speech on the issue of "effectively taking social responsibility and comprehensively improving the quality and efficiency of the banking service entity economy". Shang Fulin pointed out that in the perplexing domestic and international economic and financial situation, through the joint efforts of all parties, the development of banking industry showed steady running posture, implement the five development ideas have made positive progress in boosting the implementation of the "three to drop a decision to deploy achieved significant results, to promote the real economy more efficient, more quality, more equitable and sustainable development should have the contribution and achievements is not easy. But in the next period of time, the global economy is still in depth adjustment. Facing the new situation, the Central Committee of the Communist Party of China, the State Council and all walks of life have put forward higher requirements for the banking industry to undertake social responsibility and serve the real economy. All this requires the banking industry must be stepping stone to stay in India, there are traces of iron grip strength, to assume social responsibility, improve the service quality and efficiency of the real economy. Take social responsibility, one should strive to implement the five major development, promote economic and social sustainable development; two to support supply side structural reform, enhance the economic endogenous growth; three to increase support for weak areas, the inclusive financial implemented; four to promote accurate poverty, building a well-off society filled short board fifth; strengthen risk prevention, adherence to risk the bottom line to maintain financial stability; six to focus on promoting and handouts, promote the construction of social credit environment. In his speech, Shang Fulin also put forward specific requirements on how China’s banking association should shoulder social responsibility, strengthen its own construction, and play a leading role in the industry. Chairman Shang pointed out that a perfect banking supervision and management system, in addition to government supervision, also needs the banking industry to improve internal control measures, industry self-regulation organizations and mature financial market constraints to cooperate with each other, in order to complete the comprehensive and effective supervision of the banking industry. As a self regulatory organization of banking industry, the association is an important auxiliary force for industry supervision and plays an effective complementary role in regulating and restricting the banking management. Facts have proved that in recent years, the association in the role positioning, function play and lead the industry to achieve remarkable results, two times by the Ministry of civil affairs as a 5A class social organizations, consolidate the market position, but also won the respect of the industry. Shang Fulin pointed out that the new situation and new tasks and requirements, association still need to effectiveness of important issues such as the types of organizations and personnel professional and advocacy services in-depth thinking, to strengthen self construction, give full play to serve the country, serve the society and the masses, the role of service industry. First, we should give full play to the functions of self-discipline, rights protection, coordination and service. To strengthen self-discipline, to regulate market order by industry to achieve orderly competition and cooperation development; to solve the problem of reaction prominent financing difficulties financing and loan conditions are not reasonable, the lack of protection of the financial interests of consumers, according to the symptoms, both near and far way, take effective measures to promote.

尚福林对中银协提出四点要求 持续推动功能提升中国经济网北京9月13日讯 今天下午,中国银行业协会第七届会员大会二次会议在北京召开。中国银监会主席尚福林出席会议并以“切实担当社会责任 全面提升银行业服务实体经济质效”为题发表重要讲话。 尚福林指出,在错综复杂的国内外经济金融形势下,经过相关各方共同努力,银行业发展呈现稳健运行态势,贯彻落实五大发展理念取得积极进展,助推落实“三去一降一补”决策部署取得明显成效,为推动实体经济更有效率、更有质量、更加公平、更可持续地发展做出了应有贡献,成绩的取得实属不易。但在未来一段时期内,全球经济仍处在持续深度调整中。 面对新形势,党中央、国务院和社会各界对银行业担当社会责任、服务实体经济提出了更高要求。这一切都要求银行业必须以踏石留印、抓铁有痕的劲头,切实担当社会责任,全面提升服务实体经济质效。担当社会责任,一要着力贯彻五大发展理念,促进经济社会可持续发展;二要着力支持供给侧结构性改革,增强经济内生增长动力;三要着力加大对薄弱领域支持力度,将普惠金融落到实处;四要着力推动精准扶贫,补齐建设小康社会短板;五要着力加强风险防范,严守风险底线维护金融稳定;六要着力推进守信讲义,推动社会信用环境建设。 在讲话中,尚福林还对中国银行业协会如何在未来工作中担当社会责任,加强自身建设,发挥行业引领作用提出了具体要求。尚主席指出,一个完善的银行业监督管理体系除了政府监管之外,还需要银行业完善的内控措施、行业自律组织及成熟的金融市场 约束力量相互配合,才能完成对银行业全面有效的监管。协会作为银行业自律组织,是行业监管的重要辅助力量,在规范和约束银行业经营管理方面发挥着有效补充作用。事实证明,近年来,协会在角色定位转向、功能发挥及引领行业发展等方面取得明显成效,连续两次被民政部评为5A级社会组织,巩固了市场地位,也赢得了行业尊重。 尚福林指出,与新形势、新任务的要求相比,协会仍需要对其组织形式、人才队伍专业化与维权服务的有效性等重要问题进行深入思考,努力加强自身建设,充分发挥服务国家、服务社会、服务群众、服务行业的作用。一是进一步发挥好“自律、维权、协调、服务”职能。要加强行业自律,通过规范市场秩序使行业实现有序竞合发展;针对反应突出的融资难融资贵、贷款附加条件不合理、金融消费者权益保护不足等问题,按照标本兼治、远近兼顾的思路,采取切实有效的措施,推动解决问题,逐步建立长效机制。要强化维权职能,在维护好行业债权的同时,维护好业务特许权,保护好知识产权。要积极沟通协调并加强政策协同职能,建立健全与有关部门、国际相关组织和国外行业协会的沟通交流常态化机制,积极参与行业国标制定,反映行业诉求,帮助行业排忧解难,为行业改革发展和实施“走出去”战略提供有力支持。要提升服务水平,继续做好“百佳”、“千佳”等优秀品牌服务项目评选工作;大力做好从业人员的教育培训工作,努力提高从业人员素质和技能;打造好“国家级继续教育基地”这块金字招牌,按照国家职业资格考试要求做好继续教育工作。 二是持续推动功能提升。准确把握协会治理架构和管理体系,针对“职能部门、专业委员会和服务平台”三大模块架构,加快资源的深度整合,强化服务平台,着力提升协会的服务质效。积极探索建立提升行业服务实体经济质效的合作与沟通机制,引领行业在产品创新、服务模式、授信管理、风险防控等方面加强合作与交流借鉴,宣传总结银行业服务实体经济的举措和积极成效,发挥好行业引领作用。 三是完善内部治理结构。建立健全法人治理结构和运行机制以及党组织参与协会重大问题决策等制度安排,完善会员大会、理事会、监事会制度,落实民主选举、民主决策和民主管理,健全内部监督机制,成为权责明确、运转协调、制衡有效的法人主体,独立承担法律责任。 四是努力当好监管部门的助手。探索市场化发展路径,主动承担适合由协会提供的公共管理与集约服务职能,积极发挥协会在社会管理方面的重要作用。 中国银行业协会会长、中国银行董事长田国立在会议上指出,在今后的工作中,协会要全面贯彻落实尚主席重要指示,进一步发挥“自律、维权、协调、服务”职能,持续推动协会功能提升,完善内部治理结构,努力当好监管部门助手。一要进一步加强行业自律,积极承担社会责任。二要进一步维护行业正当权益,充当行业正当权益的守护者。三要进一步协调行业重大关系,推动形成既公平竞争又互利共赢的行业秩序。四要进一步提升行业服务水平,打造规范高端的协会服务品牌。五要进一步完善协会内部治理,全面提升工作效率与履职服务能力。田会长进一步强调,协会在不同时期应有不同的工作重点。在当前经济下行期,协会要切实维护银行业合法权益,通过沟通协调,为银行业发声,有效解决逃废债的问题,保护银行业正当利益。 此外,会议审议并全票通过了《中国银行业协会2014-2015年度工作报告》,关于潘光伟担任中国银行业协会专职副会长、非会员理事和法定代表人的议案,关于黄润中担任中国银行业协会非会员理事的议案,《中国银行业协会2015年度财务预算执行情况及2016年度财务预算报告》以及《中国银行业协会2016年会费收取方案》共五项议案。 (中国经济网)更多精彩内容欢迎搜索关注微信公众号:腾讯财经(financeapp)。相关的主题文章:

Category Archives: Health Care & Medical

International crude oil prices to break $30 at the end of February. Experts say the sharp rebound op 恋足阁

International crude oil prices to break $30 at the end of February. Experts say the sharp rebound in oil prices to the opportunity to cut slim break $30 Guangzhou Guangdong Daily reporter Jing Nan "quilt" retail positions since OPEC and Russia plan new year agreement is expected to cut no progress, this Tuesday to three trading days, the international oil prices once again suffered crash: United States WTI crude oil futures in March overnight fell 5.50%, $30, to close at $29.88 a barrel yesterday morning, a small rebound on Wednesday during the day to $30. London Brent crude oil futures fell 4.44% in March, to $32.72 barrel. Due to the first two weeks, Guangdong retail investors actively enter the market "hunters", and did not timely profit, the crash caused a considerable amount of "quilt" phenomenon; industry insiders suggest that we operate carefully, learn "short" technology. The fundamentals of the market have been mixed this week. After the rally last week, the momentum of supporting the speculation "doing more" has been slow: Russia may hold talks with the organization of Petroleum Exporting Countries (OPEC), but the hope of reducing production remains elusive. The main market agencies begin to worry about the demand for oil products after the Chinese New Year in energy consuming countries. The United States oil inventory reduction provides a market to support the United States oil data: the U.S. Energy Information Administration (EIA) inventory data show that as of January 22nd week, including diesel and heating oil refined oil inventories fell 4 million 57 thousand barrels, forecast by 1 million 938 thousand barrels, the former is to reduce 1 million 25 thousand barrels; the average daily crude oil imports by 69 thousand barrels. U.S. oil company Beck Hughes (Baker Hughes) released data show that as of January 29, 2016, the week of the United States, the number of active drilling oil reduced by 12 to 498, the past 11 weeks in 10 weeks to reduce, but also for sixth consecutive weeks to reduce, creating a new low in April 2010. At the same time, the United States has slowed down following last week’s GDP data and the University of Michigan consumer confidence index fell short of expectations, this week announced a series of U.S. data poor overall performance, the United States last December consumer spending rate was essentially flat, while the United States in January ISM manufacturing PMI for fourth consecutive months, recorded the lowest in June 2009; fed vice chairman Fisher dovish speech also further pressure this year is expected to raise interest rates, the dollar fell to provide some support for oil prices. The reason oil prices plummeted again, with the main investment institutions to continue selling ideas are consistent: after Goldman Sachs expected price fell to $20, prompting Citi analyst does not exclude the possibility of $10 fell short of ideas, banks continue to have oil prices are unlikely to be completely bared there and then, only by mid January plunged once completed the "bottom" the trend, after repeated tests tend to bottoming complete range of $20~30. There is a large rebound opportunity Shenzhen Qianhai Huachuan oil Xie Chun believes that oil prices in the Chinese before and after the Spring Festival will still maintain a wide trend of low volatility; after the end of February, there is a substantial rebound opportunities. High level "hunters", miserable quilt, multi retail investors preparing for new year’s oil price

国际原油价再破30美元 专家称2月底存大幅反弹机会   减产渺茫油价再破30美元   广州日报记者 井楠   广东“被套”散户计划持仓过年   由于欧佩克与俄罗斯的协议减产预期并无进展,本周二到三交易日,国际油价再次遭遇暴跌:美国WTI原油3月期货隔夜大跌5.50%,破30美元,昨日凌晨以29.88美元 桶报收,周三白天小有反弹至30美元之上。伦敦布伦特原油3月期货大跌4.44%,报32.72美元 桶。由于前两周时间,广东散户投资者积极入市“抄底”,且没有及时获利了结,本次暴跌造成了数额可观的“被套”现象;业内人士提示大家谨慎操作、学习“做空”技术。   本周市场基本面喜忧参半。在上周连续反弹之后,支撑投机盘“做多”的动力迟迟未见结果:俄罗斯可能与石油输出国组织(OPEC)举行会谈,但减产希望依然渺茫。市场主力机构开始忧虑能源消费大国中国春节后的油品需求。   美国油品库存减少   美国油品数据提供了市场支持:美国能源信息署(EIA)公布的库存数据显示,截至1月22日当周,包括柴油和取暖油的精炼油库存减少405.7万桶,预测为减少193.8万桶,前值为减少102.5万桶;美国原油日均进口减少6.9万桶。美国油服公司贝克休斯(Baker Hughes)公布的数据显示,截至2016年1月29日当周美国石油活跃钻井数减少12座至498座,过去11周内10周减少,也为连续第6周减少,创2010年4月来新低。   同时,继上周美国GDP数据趋缓以及密歇根大学消费者信心指数逊于预期之后,本周公布的一系列美国数据整体表现不佳,美国去年12月份消费支出月率基本持平,而美国1月ISM制造业PMI则连续第4个月萎缩,录得2009年6月最低;美联储副主席费希尔鸽派讲话也进一步打压了今年加息的预期,美元回落为油价提供了部分支撑。   油价之所以再次暴跌,与主力投资机构的继续做空思路比较一致:在高盛预期油价跌至20美元、花旗分析师提示不排除跌到10美元的可能性之后,投行继续做空的思路已经昭然若揭,油价不太可能只通过1月中旬的一次暴跌就完成了“筑底”走势,倾向于反复测试20~30美元区间之后完成筑底。   存在大反弹的机会   深圳前海华川石油的谢春认为:油价在中国春节前后依然会保持宽幅低位震荡的走势;2月底之后,存在大幅度反弹的机会。   高位“抄底”惨被套 多散户准备持仓过年   油价的再度暴跌并没有在广东市场引起太大的恐慌,在此之前,多数机构投资者坚持认为:油价20美元的时代已经来临,会多次探底;广州日报财经版也多次提示投资者:谨慎做多,谨防再度回调。不过,昨日本地市场调查中发现,仍有数量众多的散户投资者在暴跌中“被套”资金现值与投资资金的比值在50%~90%之间不等,存在重度亏损的风险。   天河区散户罗先生自述:“我也知道可能会回调,但初入市场炒油,人比较兴奋,有的时候急功近利,有的时候操作也不熟练,带有一定的尝试性质。我在28美元位置抄底了两手,看到油价迅速反弹到了30美元,又补了5手,油价突破32美元,又补了2手,一共是9手,本来想做个‘差价’,等一到35美元就抛掉,上周真的碰了35美元,却只舍得抛了3手。现在糟糕了,6手‘油品’被套。”罗先生初入油市的心理与多数散户类似;记者采访过的9位散户中,7位都是半年内进入油市的新手。绝大多数“被套”的散户均向广州日报记者表示:已经做好了持仓过年的准备,不反弹是不会割肉的。   但也确实有少量散户在本轮暴涨暴跌中获利颇丰,越秀区散户李先生自称炒卖纸原油,专心“抄底”、短线投机,去年12月至今,四个来回下来,已经稳赚了25%。   分析师:以做空思路为主   广东金矿油品分析师陈志豪认为:初入油品市场炒卖的散户,对于市场的熟悉度有限,仍有很多需要改进的原则与技术问题:   建议一:不能只会做多,不会做空。   目前国际油市与黄金市场类同,处在长线“熊市”中;熊市中的操作思路应以“做空”为主、做多为辅。但目前多数的广东散户并没有学会先卖后买的做空技术。   建议二:及时止赢与止损。   所有投资市场都类似,止赢与止损永远最为重要,可以有效规避市场风险。油市投资者多是菜鸟,操作更应小心。   建议三:原油投资者都有持仓费,不适宜过久持仓。   无论是T+D还是纸原油,除了交易手续费,操作中都会产生相应的持仓费用,为此,“买了股票留给儿子”的股市长线操作思路完全不适用于原油市场。炒油投资应以1个月内的短线操作为主。 进入【新浪财经股吧】讨论相关的主题文章: