總資產周轉率 的英文怎麼說

中文拼音 [zǒngchǎnzhōuzhuǎn]
總資產周轉率 英文
circulating rate of total assets
  • : Ⅰ動詞(總括; 匯集) assemble; gather; put together; sum up Ⅱ形容詞1 (全部的; 全面的) general; o...
  • : Ⅰ名詞1 (錢財; 費用) money; wealth; expenses 2 (資質) intelligence; endowment 3 (資格) quali...
  • : Ⅰ動詞1 (人或動物的幼體從母體中分離出來) give birth to; be delivered of; breed 2 (創造財富; 生...
  • : Ⅰ名詞1 (圈子; 周圍) circumference; periphery; circuit 2 (星期) week 3 [電學] (周波的簡稱) c...
  • : 轉構詞成分。
  • : 率名詞(比值) rate; ratio; proportion
  • 總資產 : total assets總資產負債表 aggregate balance sheet
  1. Freight ton ? kilometers ( passenger ? kilometers ) : refer to the sum of the products of the volume of transported cargo ( passengers ) multiplying by the transport distance, usually using ton ? kilometre and passenger ? kilometre as units for measurement

    貨物(旅客)量:指在一定時期內,由各種運輸工具運送的貨物(旅客)數量與其相應運輸距離的乘積之和,是反映運輸業生成果的重要指標,也是編制和檢查運輸生計劃,計算運輸效、勞動生以及核算運輸單位成本的主要基礎料。
  2. Based on the analysis of types and sources of risks that confront commercial banks, the paper first determines the methodology for its research, i. e. mathematical statistics for quantity factors and the fuzzy discriminating analysis for the quality factors. combining the evaluation approaches of the banks in germany and china, the paper gets 13 common indices, and with mathematical statistical method, chooses 4 factors that will influence customer credits : equity capital / total asset, velocity of stock in trade, velocity of total assets and payoff rate of total sale. the four factors with liquidity factor reflect the customer ' s financial characteristics, such as capital structure, operation, earnings and liquidity

    在理論分析的基礎上,結合德國和中國有關銀行的客戶信評價方法,在得到影響客戶信用13個常用指標的基礎上,利用數理統計分析方法( t檢驗、多元判別分析和逐步判別分析等)得出影響客戶信用的四個因素:自有、存貨總資產周轉率和銷售盈利,他們反映了企業本結構、經營狀況和盈利水平,加入企業的流動性以後,它們決定了客戶的財務特徵。
  3. The equation shows that 9 finance index have important relationship with default ratio, they are roe, debt ratio, asset turnover ratio, gross profit ratio, scale of assets, currency ratio ( [ currency + marketable securities ] / current liability ), debt structure ( current liability / total debts ), currency / daily revenues and quality of assets ( accounts receivable / total assets )

    回歸方程表明,違約與以下9個財務指標的組合密切相關:凈收益負債總資產周轉率、毛利規模(額對數) 、現金比(現金類流動負債) 、債務結構(短債額債務額) 、日銷現比(現金與有價證券日銷售額) 、質量(應收賬款額) 。
  4. The results show : in 13 possible variables, operating fund ratio, stock turnover ratio, total assets turnover ratio, rate of return on total assets and rate of retained profit to total assets have an important influence on finance and the accurate rates of our models are 86. 8 % for - 0 - year data and 79. 82 % for - 1 - year data

    結果表明: 13個變量指標中,反映流動性的營運金比,反映經營能力的存貨總資產周轉率以及反映企業獲利能力的報酬、累計盈餘對于企業的財務有著重要的影響,其預測的準確性在0年達到86 . 8 , 1年達到79 . 82 。
  5. Total assets turnover

    總資產周轉率
  6. We select correspondingly some specific indices after considering the automobile industrial characteristics, and then use the multiple regression method. the result shows the factors that affect the automobile industrial dividend policy, according to the influence degree, are the company ' s profitability, the circulation stock proportion, the company size, the turnover rate of total asset, but the asset liability ratio and so on are independent of it

    實證分析時主要應用多元線性回歸分析法,在結合了汽車製造業的行業特徵,並相應地選取一些特定指標后,得出了汽車製造業上市公司股利政策影響因素模型,其按影響程度大小依次為公司的盈利能力、流通股比例、公司規模、總資產周轉率,而與負債等指標無關。
  7. Since financial reforms were brought out in china 20 years ago, the state - owned commercial banks have a expansion in financial assets and liabilities during this period. with the sharp increase of financial assets gross, the domestic banks are encountering a series of difficulties, such as high ratio of default loans, the slower turnover ratio of funds, the lower profitability, and the weak ability of self - development

    金融改革二十年來,國有獨商業銀行金融與負債量經歷了一個迅猛的擴張期,在量的擴張背後也存在深層次的問題,特別是國有獨商業銀行不良貸款比較高、速度減慢、經濟效益下降、自我發展能力不足等問題。
  8. On the basis of current methods, it designs a system which applies to evaluating the security investment funds, including net asset value, total reward rate, cost rate, turnover rate and the measure and the determination of risk

    結合國內外已有的方法,設計了一套有關證券投基金的評價體系。包括凈值、報酬、費用以及風險的衡量與測定。
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