debt default 中文意思是什麼

debt default 解釋
債務拖欠
  • debt : n. 1. 借款,欠款,債務,債。2. 情義,恩,恩義。3. 【宗教】罪孽。
  • default : n 1 不履行;違約;拖欠。2 【法律】不履行債務;缺席。3 欠缺,缺乏。vi vt 1 拖欠(欠款等),不履行...
  1. Rising debt costs could force many overstretched homeowners to default and their lenders to foreclose

    升高的債務成本迫使許多貸款期限過長者放棄履約,借貸者從而收回這些房屋。
  2. 4 incurrence by the company of a major debt or default on an overdue major debt

    四公司發生重大債務和未能清償到期重大債務的違約情況
  3. For further information about judgment debt and recovering tax in default, please see

    有關判定債項及追討欠稅的其他資料,請參閱
  4. Systematic approach of default in performance in general debt law of civil code

    論債權總則給付障礙法的體系進路
  5. A lending institution may only provide to a debt collection agency information directly relating to an individual in default for identifying and locating the individual

    放款機構應只向收數公司提供與拖欠還款的個人直接有關的資料,以識辨及尋找有關個人。
  6. But the museum in the university of buenos aires economics department doesn t dwell only on this latest debt crisis : it goes back to argentina s first default in the early 1800s and gives a detailed account of the last 30 years when the country s foreign debt woes snowballed

    這個位於布宜諾斯艾利斯大學經濟系的博物館並不只限於最近發生的那次債務危機,它還展示了發生在19世紀早期的阿根廷首次債務違約以及最近30年阿根廷外債瘋長的詳細記錄。
  7. Unsecured debt debt, which is not guaranteed by collateral, therefore, no assets are committed in case of default

    未擔保債務沒有抵押物作為擔保的債務,在違約時沒有抵押物可以補償損失。
  8. 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,違約率與以下9個財務指標的組合密切相關:凈資產收益率、資產負債率、總資產周轉率、毛利率、資產規模(資產總額對數) 、現金比率(現金類資產流動負債) 、債務結構(短債總額債務總額) 、日銷現比(現金與有價證券日銷售額) 、資產質量(應收賬款資產總額) 。
  9. As the leading dealer in the market for credit - default swaps ( cds ), contracts used to punt on a company ' s ability to repay its debt, jpmorgan chase could find itself dragged into another maelstrom

    作為信貸違約互換( cds一種用於擔保企業償還債務能力的合約)的主要運營商,摩根大通有可能被捲入另外一種漩渦。
  10. Borrowers ' capital structures ? the various layers of debt and equity, each with different rights in the event of default ? are now more complex

    目前借款人的資本結構愈發復雜(發生違約時,負債和權益的層次不同,則權利各異) 。
  11. The third chapter analyses and evaluates china present macroscopic finance risk by using statistical data from 1993 to 2001, which draws conclusions rfirstly, macroscopic economy environment is in the safe intervals ; secondly, bank default risk is the main risk ; thirdly, there is foam economy and national debt risk in china in some degree, fourthly, there is not institutional base for forming foreign capital risk. in the end, the author analyses the speciality of forming macroscopic finance risk

    再次,利用1993年至2001年的相關統計數據,對我國近段時期的宏觀金融風險進行了總體分析和評價,得出了如下結論:宏觀經濟環境在安全區間運行、銀行壞賬和國債風險是我國目前主要的金融風險、具有一定程度的泡沫經濟風險、外資風險不具備制度基礎。並且從產權制度、金融體系的結構性矛盾、證券市場的運行機制和國有資產管理制度缺陷四個方面分析了我國宏觀金融風險形成的特殊性。
  12. If adopted, the proposal could have an enormous impact on about y200, 000bn ( $ 1, 700bn ) of outstanding local government debt, which lenders currently treat as carrying almost no default risk

    這一提案一旦獲得通過,將會對價值約200萬億日元(合1 . 7萬億美元)的地方政府未償還債務產生巨大影響。目前,貸款銀行認為這些債務幾乎不存在任何違約風險。
  13. The second chapter builds up indicator system of macroscopic finance risk according to standard, objectivity, sensitivity and operability, which includes macroscopic finance environment risk, bank default risk, foam economic risk, national debt risk and foreign capital impacting risk. next, it standardize indicator by adopting mapping, and applies hierarchy analytical process in determining weight. at last, it draws statistic measurement models by weighted average method

    其次,根據指標體系構建的規范性、客觀性、靈敏性和可操作性等原則,構建了由宏觀經濟環境風險、銀行壞賬風險、泡沫經濟風險、國債風險和外資沖擊型風險構成的宏觀金融風險評價指標體系;然後按照映射法對指標進行標準化處理,採用層次分析法確定各大類因素的權重,並用加權平均法得出宏觀金融風險的統計度量模型。
  14. You can buy and sell not only shares, bonds and currencies, but any number of derivatives based on them ; you can trade in insurance against the default of single companies or whole bunches of them ; all manner of debt, from solid company loans to fragile subprime mortgages, can be syndicated or securitised, chopped into bits and sold on ; and you can bet on myriad indices of all the above and more

    你不僅可以買賣股票、債券、貨幣,還可以買賣任何數量基於它們的衍生品;你可以以單個公司或整組公司的違約保險做抵押交易;從可靠的公司貸款到存在風險的次優抵押貸款各種各樣的債務,可以進行組合或證券化,分成小塊去轉售;你可以在以上所有或者更多數不清的指數上下賭注。
  15. A debt or other liability arising out of a transfer order which is the subject of action taken under default arrangements may not be proved in a bankruptcy or winding up until the completion of the action taken under default arrangements

    在違約處理中,轉讓令作為行為的主體,其引起的債務或其它責任在該行為結束以前,不得在破產或清盤案中證明。
  16. I / we hereby consent to the bank providing to debt collection agencies my credit information in the event of default

    徵信服務提供商( 「統稱徵信機構) ?解本人的信用信息和信用評估信息,同時授權貴?向徵信機構提供本人的信用信息。
  17. We have already seen, in recent months, the biggest corporate bankruptcy in history, in the form of the collapse of enron, and also the biggest sovereign default in history, in the form of the debt crisis in argentina

    公司倒閉及阿根廷債務危機,前者是有史以來最大的公司破產案,後者是有史以來最大的主權國無力償債事件。
  18. After the debt default, what are the next steps russia should take

    債權違約之後,俄羅斯下一步該怎麼做
  19. Lula and mr palocci sensibly steered clear of debt default and stuck to responsible macroeconomic policies

    盧拉和帕羅奇的確擺脫了債券違約風波,堅持正確的宏觀經濟政策。
  20. Three years after staging the largest debt default in modern history, argentina recently opened what may be the first museum of foreign debt to teach people the perils of borrowing abroad

    近日,阿根廷首個外債博物館正式對外開放.三年前,阿根廷爆發了現代史上最大的外債違約.而今天此舉旨在教育人們了解海外貸款的危險性
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