fiscal risk 中文意思是什麼

fiscal risk 解釋
財政風險
  • fiscal : adj. 1. 國庫的。2. 〈美國〉財政上的;會計的。n. 1. 財政部長;(蘇格蘭等的)檢察官;(西班牙及葡萄牙的)檢察長。2. 印花稅票。3. 財政年度,會計年度。
  • risk : n 1 風險,危險;冒險。2 【保險】(損失的)風險(率);保險金額;被保險人,被保險物。vt 冒…的危險...
  1. The fiscal risk should n ' t be overlooked during the application of the expansionary fiscal policy

    擴張性財政政策的運用不能忽視財政風險。
  2. Accompanied by positive fiscal policy from 1998, the scale of the fiscal deficit and the national debt in china has been enlarged rapidly, which caused wide concern and debate in not only political but also scientific fields on the problem : whether fiscal risk exists in china

    1998年以來,我國實施了連續六年的積極財政政策。伴隨積極財政政策的實施,我國財政赤字和國債規模節節攀升,引起了政界和學界的普遍關注,學術界由此掀起了關於我國是否存在財政風險、是否存在國債發行空間的討論。
  3. New view of fiscal risk management of enterprise

    論企業財務風險管理的新視角
  4. Chapter one theory on public risk and fiscal risk

    第一部分公共風險理論與財政風險。
  5. On the prevent and release of local fiscal risk of our country

    論中國地方財政風險的預防與化解
  6. The definition of fiscal risk

    風險是自然現象,也是社會現象。
  7. On the personality characteristics of local fiscal risk of our country

    論我國地方財政風險的個性特徵
  8. Sensible considerations on preventing and solving local fiscal risk

    防範和化解地方財政風險的理性思考
  9. Analysis of china ' s fiscal risk under the framework of public finance

    公共財政框架下我國財政風險分析
  10. What is your view concerning china ' s fiscal risk

    今年我國財政赤字是3098億元,占國內生產總值比重的3 % 。
  11. Analysis on the character and precaution of local fiscal risk in china

    淺談我國地方財政風險的特點及其防範
  12. This text, using the basic economics theories of risk, combining the basic law in public financial field, has elucidated the concept, nature, characteristic and classification of the fiscal risk. it brings the risk management theory systematically into the fiscal risk study and has analyzed the essential feature of the financial risk course emphatically. it elucidates the concepts, such as datum point upon which the financial risk will transform

    本文運用風險經濟學基本理論,結合財政領域基本規律闡發了財政風險的概念、性質、特徵和類別;運用系統論的觀點,按照風險系統基本邏輯特徵,分析了我國財政風險系統的成因、因素構成、基本特徵,並著重分析了我國財政風險或有因素的類別,能量蓄積狀態等當前財政風險研究中亟待解決的問題。
  13. For all the reasons above, the author proposes that enough attention be paid to the precautions against the fiscal risk and eradicate all possible risky factors that may lead to a fiscal crisis and this thesis dwells upon the fiscal risk in four chapters

    因此,我國在發展經濟的同時,也要充分重視財政風險的防範,力求防微杜漸,消除誘發財政危機的各種風險因素。論文分四部分來系統研究我國財政風險的防範。
  14. Based on the research of fiscal risk theories and views home and abroad, this paper divides china ’ s fiscal risk into three types according to china ’ s own situation, namely, periodical risk, institutional risk and operating risk

    本文在對國內外財政風險理論和思想述評的基礎上,根據我國國情,把我國財政風險分為周期性財政風險、制度性財政風險和經營性財政風險。
  15. As fiscal risk becomes more and more striking, academy circle issued many articles discussing on this issue with different opinions, but most of them refer to the requirements ruled by maastricht treaty, which are compulsory to those nations who want to join the euro system, or simply amend these requirements according to the actuality in china

    日益凸現的財政風險,引起了各界人士的熱切關注,學術界就此各抒己見,但絕大多數都是參照《馬斯特利赫特條約》對要求加入歐元體系國家的指標1 ,或者是針對中國的實際對這些指標加以修正2 。
  16. Chapter 4 is about the methods to solve the problems about the contradictions of fiscal fund and bank fund and the transform of the fiscal risk and bank risk

    第四章認為財政資金與銀行資金運行矛盾的解決和財政風險與銀行風險的化解是同一問題的兩個方面。
  17. The accumulation of these contradictions not only make the low efficiency of the fund distribution, and the banks have to bear up the risks of fiscal fund finally due to the confusional use between the two kinds of funds, but also have the serious problems : fiscal risk due to the scarcity of fund becomes the origination of the bank risk ; however, according to our country fiscal characters, the fiscal risk must be the final burdener of bank risk

    這種矛盾的積累不僅造成了社會資金配置的低效率和不規范的交叉使用? ?銀行資金財政化,更為嚴重的後果便是:由財政資金的短缺而形成的財政風險成為銀行風險的始作俑者;然而由於我國財政自身的特點,它又終將成為銀行風險的最後承擔者。
  18. Chapter 2 expounds the contradictions and their embodying of the fiscal fund and bank fund in the transition period from the point of historical view. chapter 3 is about the transform of the fiscal risk and bank risk

    第三章分兩個方面介紹了財政資金與銀行資金運行矛盾的直接後果,即由於歷史的,體制的原因我國目前的財政風險與銀行風險存在相互轉化的機制。
  19. Among them are historical factor ( which shows that fiscal difficulties exist every year in our country and are the result of reform in each historical stage ) ; fiscal system factor ( which means that the current fiscal system in our country is not so perfect ) ; pressure factor ( from how to tackle and remove the bad effect brought about by the fiscal policy and how to boost economic development ) ; the transferred problems from the state - owned commercial problems from the state - owned commercial banks ( which is an inseperable factor connected with fiscal risk ) ; and problems of local debt. chapter four main suggestion and countermeasures for guarding the fiscal risk in our country. they are as follows : 1

    文章認為,財政不能走以往大包大攬的老路,風險的防範要充分發揮市場機制的積極作用,從而可以減少財政的部分壓力,同時,我國的財政支出結構,要適應政府職能轉變發展市場經濟的要求,作出適當調整,進而在我國建立公共財政的基本框架;文章對債務風險的防範主要是從國債和地方債務兩方面出發,提出了自己的一些建議;對于赤字風險的防範,文章指出,提高國家財力的集中程度,把控制赤字作為中長期財政發展規劃,調整支出結構,是解決問題的重要途徑;最後,文章還提出,基於我國政策環境的轉變,以及宏觀經濟發展的需要,及時調整積極財政政策的作用方向和方式顯得十分必要,有利於減少各種誘發風險產生的因素,更好地防範財政風險。
  20. Under this theory frame, a series of indexes with effectiveness has been formed while analyzing through the datum point and financial risk factor. the article structures basic theories of administrative system of fiscal risk with characteristic of our country frame tentatively, including early warning index basket, financial content, such as risk planning, macro risk decision, the management information system of the risk, etc.

    在這個理論框架下,藉助基準點和財政風險因素分析中形成的一系列具有可操作性的指標,文章初步構建了具有我國特色的財政風險管理系統基本框架,包括財政風險預警指標籃、宏觀風險決策、風險管理信息系統等內容。
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