財務風險 的英文怎麼說

中文拼音 [cáifēngxiǎn]
財務風險 英文
financial risk; financial exposure
  • : 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 (空氣流動) wind 2 (風氣; 風俗) practice; atmosphere; custom 3 (景象) scene; view 4 ...
  • : Ⅰ名詞1 (險惡不容易通過的地方) a place difficult of access; narrow pass; defile 2 (危險) dange...
  • 財務 : finance; financial affairs
  • 風險 : risk; hazard; danger
  1. On financial risks of transnational amalgamation

    跨國並購的財務風險研究
  2. Establishing and guaranteeing measures for colleges and universities financial risk management and appraisable system

    高校財務風險管理評價體系的構建及其保障措施
  3. Through the comparison among the various points of view, i put forward my opinion on the conception of risk. two standpoints about the financial risk hold by the current ideologues and city men were analyzed in the paper, and the connotation t of the financial risk was cleared

    本文通過對關于涵義的各種觀點的比較探討,提出了自己對概念的理解。就目前理論界和實界有關財務風險的兩種觀點進行了分析,明確了財務風險的內涵。
  4. The reduction of the risk of m & a has to obey the principal of controllability and fore controllability. its characteristics, are, flexible, satisfactory, changeable, unpredictable and organizable. the design of mechanism should be based on clear relationship of ownership. encouragement should be connected with control ; financial control should be connected with technology control

    因為存在著所有權級並購財務風險和經營權級並購財務風險,也就要對企業並購財務風險進行控制體制的研究,因為存在著制度性並購財務風險與操作性並購財務風險,因而要對具體並購財務風險進行技術控制研究。
  5. Merger & acquisition has become the effective mechanism of enterprises reorganization capitalism recontribution. the rapid development of capitalism market and the appearance of financial tools and so on, constitute great risk for m & a. the practice of m & a, shows that the risk have great influence on the achievements and development of enterprises. so, how to reduce the risk in m & a is a pressing problem

    資本市場的飛速發展,金融工具的紛紛涌現,以及企業並購行為的國際化、證券化趨勢,使企業並購本身面臨著巨大的財務風險,同時我國企業並購的實踐,也表明並購財務風險對企業業績和成長有著相當大的影響。
  6. Loan ' s risks and measures in colleges and universities

    論高校財務風險與防範對策
  7. It ' s more and more important to find an efficient way to manage the financial risk. the author carries out the investigation, collects related materials, researchs demonstratively and tries to find an efficient mechanism of financial risk " s management. that is to establish an effective supervisal mechanism and a veracious mda ( multiple discriminant analysis ) model

    針對這一現實問題,筆者採用實地考察、運用各種渠道收集相關資料、實證研究等方式,努力探索建立一個有效的企業財務風險管理機制,主要包括建立一個有效的財務風險監測機制及一個具有一定超前準確性的預警判別模型用以進行財務風險管理。
  8. Finally, the paper used jiangling group as an exa - mple to iilustrate the application and implementation of guard system of risk

    最後,以實際案例,闡述了企業集團內部財務風險制度防範體系在實踐中的運用。
  9. New view of fiscal risk management of enterprise

    論企業財務風險管理的新視角
  10. This is the 3 rd training course of the programme in which you can learn how to develop your in - house account receivable skills and risk management in operation and finance

    第三部分針對操作和財務風險,教你如何有效地提高收賬技巧,加強管理。
  11. The financial risk is the possibility that an actual financial standing deviate the financial target. internal control is the method, measure with procedure that guarantee business activity ' s validity proceeds and the safety of assets etc. essentially internal control is the emollient means prevent the internal financial risk of business enterprise. preventing the financial risk is the ultimate end purpose to develop internal control

    財務風險是實際狀況與預期目標發生負面偏離的可能性,內部控制是單位為了保證各項業活動的有效進行、確保資產的安全完整、防止欺詐和舞弊行為、實現經營管理目標等而制定和實施的一系列只有控制職能的方法、措施和程序。
  12. Earnings per share rise, but the value of the shares drops due to the higher financial risk

    雖然每股收益提高了,但由於財務風險更高,股票的價值卻下降了。
  13. In the case, the subsidiary wholly owed by a corporation is a large scale state owed enterprise with glorious history rewarded for its excellent profit. but it finally failed because of its financial crisis. it is one of the important reason of the failure that the corporation could n ' t obtain the financial information in time, and could n ' t obtain the real data which misguided the corporation leaving the subsidiaries financial risk alone which resulted in the liquidation

    案例中的子公司是一家大型國有企業,從集團公司財務風險控制角度分析該公司從輝煌到走向清算的歷程,本文認為子公司上報信息不及時、反饋數據不充分、溝通情況不符合實際,使集團公司預測不準確、決策相對滯后、戰略調整不到位是該失敗的重要原因之一。
  14. On financial risk of private enterprises and its control

    論私營企業的財務風險與控制
  15. Capital structure is the rate of long term liabilities and sovereignty capital. different capital structure has a big effect to firm finance adventure, surplus of every stock, firm value

    資本結構是指長期負債額與主權資本的比例,不同的資本結構,對企業承擔的財務風險、每股盈餘、企業價值均會產生重大影響。
  16. It is indeed a traditional product which has been expended to include risks from the insurable ones to some previously uninsurable ones, e. g. financial risks over a relatively long period, though it only assumes limited risks transferred from clients

    不過它承擔的程度有限,承保范圍卻相應擴大,財務風險等傳統不可保都在其保障之下;而且是跨年度保單,可以通過時間來分散,降低成本。
  17. Study on the enterprise financial early warning system

    企業財務風險預警系統研究
  18. On financial management of a newspaper industry

    報業集團財務風險管理
  19. The regulation methods may be divided into prudential regulation and opportunist behavioral regulation, the former regulates the financial risk and normal management ability of futures brokerage firms, including regulation of market access, on - going operation and market withdraw, the latter regulates the violation of rules and regulations, the opportunist behaviors that do harm to the public but benefit themselves

    中國期貨公司監管的主體是中國證監會;監管的類型分為審慎性監管和機會主義監管,前者對期貨公司的財務風險和正常的經營能力進行監管,包括市場準入、持續經營和市場退出的監管,後者是對期貨公司違規違法、損人利己的機會主義行為的監管。
  20. But what is not allowed to neglect of is that along the high speed economic developing, especially in the turn of new and old system the economic environment is more complicated. people ' s thought and mind increasingly diversified. so some units " internal control and management have been weak and some new economic crime cases appeared which bring some business enterprise big financial risk and existing risk

    但不容忽視的是,在經濟高速發展的同時,特別是在新舊體制轉換過程中,經濟環境趨于復雜,人們的思想意識日益多元化,一些單位內部控制薄弱,管理鬆弛的情況逐漸暴露,出現了一些新型的經濟犯罪案例,給企業帶來巨大的財務風險和生存
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