財務狀況測試 的英文怎麼說

中文拼音 [cáizhuàngkuàngshì]
財務狀況測試 英文
tests of financial condition
  • : 名詞(金錢和物資的總稱) wealth; property; valuables
  • : Ⅰ名詞1 (事情) affair; business 2 (姓氏) a surname Ⅱ動詞1 (從事; 致力) be engaged in; devote...
  • : Ⅰ名詞1 (形狀) form; shape 2 (情況) state; condition; situation; circumstances 3 (陳述事件或...
  • : Ⅰ名詞1 (情形) condition; situation 2 (姓氏) a surname Ⅱ動詞(比方) compare Ⅲ連詞[書面語] (...
  • : 動詞1. (測量) survey; fathom; measure 2. (測度; 推測) conjecture; infer
  • : 名詞(古代占卜用的器具) astrolabe
  • 財務 : finance; financial affairs
  • 狀況 : condition; state; status; state of affairs
  • 測試 : test; testing; checkout; measurement
  1. Facing the rapid development of higher education, in order to guarantee its healthy and sustainable development, and to properly deal with the relation among the scale, speed and finance, on the basis of the condition guideline for regular higher education ( trial version ) by the ministry of education, by using scientific method, this paper forecasts total revenues and total demands of budget period, estimates the capability of finance by analyzing and studying the present condition of education and the previous finance condition

    摘要針對高等教育迅猛發展的形勢,為確保學校健康和可持續發展,妥善處理發展規模及發展速度與資金保障的關系,通過對學校基本辦學條件、基礎資料、歷年的分析和研究,對照教育部頒發的《普通高等學校基本辦學條件指標(行) 》的要求,採用科學的算方法,預規劃期辦學資金總收入和總需求,算學校的貨款能力。
  2. Ttis paper sms the recen research results in the topic, maks a briefly descripon of the foral risks, then researthes on the mechanism to cause them, introduces way to assess the level of anancial risk. based on it, this paper finds out the main finaniai ratios to influeoce risk through survtw, and bulld the financial riskleve forecasting model by the method of two group ofdiscdrinate analysis. ih the research, 60 listed compedes are selected as our statstical analsis samples and cataloged into two groups, which has 30 samples, one is company which is no specially wdopn st ) the othe is on the cotw ( st )

    本文對已有研究成果進行了總結回顧,接著從我國上市公司風險的現分析入手,揭示了上市公司總體風險的水平,並從多方面具體分析了上市公司風險的成因,然後介紹了風險評估的幾種常用方法;在此基礎上,採用問卷調查法確定了風險預警指標體系后,選擇滬深兩市60家上市公司作為估計樣本(其中30家為st公司, 30家為非st公司) ,運用兩組判別分析法建立了上市公司風險預警模型,再選擇了20家上市公司作為樣本,來已建立模型的效果;對ykf公司的風險進行綜合分析,其結論與運用建立的預警模型的結果相吻合,故對其發出了風險預警;最後,針對我國上市公司的實際情,從完善公司治理機制、重塑社會信用體系等方面提出防範公司風險的對策和建議。
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