防範化解 的英文怎麼說

中文拼音 [fángfànhuàjiě]
防範化解 英文
ward off + mitigate
  • : Ⅰ動詞(防鷥) provide against; defend against; guard against Ⅱ名詞1 (防守; 防禦) defence 2 (堤...
  • : 名詞1 [書面語] (模子) pattern; mould; matrix 2 (模範; 榜樣) model; example 3 (范圍) boundar...
  • : 解動詞(解送) send under guard
  • 防範 : be on guard; keep watch; keep a lookout
  1. They are trying to understand how scientific developments are changing this threat and working to better prepare the nation for future cbw incidents

    他們試圖了科學發展如何能改變這種威脅並努力使美國能對未來生武器事件有更好的
  2. After china ' s entry into the world trade organization ( wto ), the enterprises in china must adapt the opportunities and changelings which are caused by the entry

    中國的企業要適應加入wto之後所面臨的機遇和挑戰,及時、及早財務失敗的風險是高層管理者必須考慮的財務戰略問題。
  3. The operating procedures and standards and scientific precautionary systems must be concretized and perfect to fix up electric eyes for business supervision

    操作程序和標準以及科學的體系必須具體,妥善決電力眼睛的行業監督。
  4. Secondly, actions between banks and enterprises in china ' s credit market and the motivation of banks " deregulation are deeply analyzed by the means of the game theory. thirdly, the thesis studies how systematic factors in china aggravate the information asymmetry in the credit market from the aspects of property right, financial supervision and information announcement. at last, suggestions on how to dissolve the bank credi t risk and prevent non - performing banking assets increasing are put forward in the aspects of improvement of information symmetry, establishment of incentive and constraint mechanism and elimination of systematic factors which aggravate the information asymmetry

    首先,論文分析了我國信貸活動中的信息不對稱所產生的逆向選擇與道德風險對銀行資產質量的影響;其次,作者運用博弈論方法對我國信貸市場中銀行與企業的博弈行為以及銀行違規的動力進行了深入地分析;接著,論文又從產權、金融監管和信息披露這三個方面研究了我國的體制性因素如何加劇信貸市場的信息不對稱問題;最後,論文從提高信貸市場的信息對稱度、建立有效的激勵約束機制以及消除加劇信息不對稱的體制性因素這三個方面對我國銀行信貸風險、銀行不良資產的新增提出了建議。
  5. On the basis of which, the basic thought of controlling and resolving finance risk is brought forward. such as the conversion of financial function, the establishment of public finance and defensive mechanism of finance risk, the transaction of financial distribution relation, deepening the reformation of fiscal charges, strengthening supervisory legislation finance, finally keeping away and resolving finance risk

    然後,分析了我國財政風險的一般形成機制和現實成因,並在此基礎上提出了我國財政風險的控制與的基本思路:轉變財政職能,建立公共財政;建立財政風險機制;理順財政分配關系,深財稅改革;加強財政監督立法,最終財政風險。
  6. Guard against and defuse financial risks

    金融風險
  7. We will strengthen financial supervision and control, and forestall and defuse financial risks

    加強和改進金融監管,金融風險。
  8. While continuing to watch out for and defuse financial risks, we should generate more financial resources to support economic development

    在繼續金融風險的同時,加大金融對經濟發展的支持力度。
  9. China will work with the countries concerned to guard against and defuse financial risks and promote steady economic growth in asia and the world as a whole

    同有關國家一道,金融風險,促進亞洲乃至世界經濟的穩定增長。
  10. Sixth, we need to strengthen and improve financial oversight, improve the mechanism for coordinating oversight and effectively guard against and defuse financial risks in order to maintain china ' s financial stability and security

    六要切實加強和改進金融監管,健全監管協調機制,有效金融風險,維護國家金融穩定和安全。
  11. We should carry out the reform steadily to deregulate interest rates to leave them to market forces, optimize the allocation of financial resources, strengthen regulation and prevent and defuse financial risks so as to provide better banking services for economic and social development

    穩步推進利率市場改革,優金融資源配置,加強金融監管,金融風險,使金融更好地為經濟社會發展服務。
  12. In this background, to maintain our normal financial order, prevent and defuse financial risks, safeguard financial security, enhance the competitive strength of our financial industry, we must take steps to make the large civil financial funds more standardizing and consolidating

    在這樣的背景之下,為維護我國正常金融秩序、金融風險、維護金融安全,增強我國金融業的競爭實力,必須對體制外循環的資金進行規范和整頓。
  13. Company through the acquisition, management and disposal of the bad assets of state - owned commercial banks stripping to guard against and defuse financial risks, and deepening the reform of the financial system and enhance the international competitiveness of state - owned commercial banks is of great significance

    公司通過收購、管理和處置國有商業銀行剝離的不良資產,對金融風險,深金融體制改革和增強國有商業銀行的國際競爭力具有十分重要的意義。
  14. Finance has a unique economical quality of monetary credit, which decides its unsteability and speculative factors are higher than any other mechanism of distribution of resources. so accurately - recognize and effectively - guard against and defuse financial risks are the key to garantee the financial safty and are relating to the financial system and the rate of financial market

    由於金融所特有的貨幣信用經濟屬性,決定著其中的不確定性與投機因素比其他任何一種資源配置機制都大,正確認識並予以有效地金融風險,是確保金融安全的關鍵,關繫到金融制度及金融市場的效率。
  15. At any point, the stock price only depends on the equalization points of supply and demand. this paper have disclosed the inherent law that the stock price takes from the view of micro structure theory of financial market, there is combination of theory between practice and certain effectiveness. it will do good to analyze the current station and problem of domestic and international financial stock market, it will help us take p recautions against financial risks and has realistic meaning with importance

    股票在任何時點的真實價格僅取決于供給和需求的平衡點,本文採用一般均衡理論及其模型,從一個方面揭示了金融市場微觀結構理論價格形成的內在規律,理論聯系實際,有一定的可操作性,對于分析國內外金融股票市場的現狀、問題,以及防範化解金融風險,具有重要的現實意義。
  16. The preacutions against financial risks of china under the trend of the financial globalization

    建立防範化解金融風險的有效機制探析
  17. And this thesis will discuss how to relax and eliminate such risks with internal and external factors and furthermore, propose some detailed and effective measures accordingly in hoping to guide the accounting of banks correctly

    本文將從內、外部因素兩個方面對防範化解結算風險進行了系統論述,提出的措施具有全面詳細、可操作性強的特點,對銀行會計工作具有指導作用。
  18. In order to effectively identify and actively prevent and eliminate compliance risks and ensure sound and stable business operation, an insurance company shall, according to the requirements of the present guidelines, set up sound compliance management systems, improve the organizational structure of compliance management, clarify compliance management responsibilities and build up a perfect compliance management system

    保險公司應當按照本指引的要求,建立健全合規管理制度,完善合規管理組織架構,明確合規管理責任,構建合規管理體系,有效識別並積極主動防範化解合規風險,確保公司穩健運營。
  19. This paper analysis that the financial supervision is the important method to eliminate the regional banking crisis from the regulatory angle, and a number of problems in the banking supervision which how to led to banking crisis. in the above analysis at analyzing and progressive basis, the papers of the final chapter discussed how to establish financial supervisory mechanism preventing the regional bank crises. this is the analysis of the advice

    本文從監管角度來分析金融監管是消除局部銀行危機的重要手段,及討論了監管中存在的一些問題是如何導致的銀行危機,在上述分析層層剖析、循序漸進的基礎上,論文的最後探討了構建防範化解局部銀行危機的金融監管機制,這屬于對策層面的分析,針對局部銀行危機的,提出一些政策和技術方面的建議。
  20. From the substantial evidence, four variable factor of the debt bond market risk have been concluded by use of spssl0. 0 software. ( 2 ) the basic principle of modern risk management is applied. to aim at the present shortcomings of chinese debt bond market risk that the government debt bond price to deviate value, under the interest rate term, the developed vasicek mode is used by use of eviews software

    ( 2 )應用現代風險管理的基本原理,以防範化解利率期限下的我國國債市場風險,針對我國傳統國債定價弊端,引入擴展型多因子瓦西塞克模型,利用eviews軟體nls估計,推導出了在利率期限下,中國國債市場的擴展型四因子瓦西塞克國債定價模型。
分享友人