reduce financial risk 中文意思是什麼

reduce financial risk 解釋
化解金融風險
  • reduce : vt 1 減少,減輕,節減;縮短,縮小;降低,貶低;使沒落,使落魄。2 使降服,征服,克服;攻陷(城市等...
  • financial : adj. 1. 財政(上)的,財務(上)的,金融(上)的。2. (會員)繳費的〈cf. honorary〉。adv. -ly
  • 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. To be more precise, the auditors reduce information risk, which is the risk that the financial information used to make a decision is materially misstated

    更準確地講,審計師降低的是信息風險,即賴以進行決策的財務信息存在重大誤報的風險。
  2. 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。
  3. Take example of float interest security or float interest bond, those are new financial tools of innovation based on traditional financial tools. they can help financial agencies to reduce interest risk in capital collection

    例如,浮動利率債券或浮動利率票據,這種建築在對傳統金融工具的特徵進行重新組合基礎上的金融創新工具,就可使金融機構減少籌資的利率風險,降低成本,提高效率。
  4. Perhaps it helped that in forging a deal to reduce risk, mr leavitt ' s own background in financial services was in insurance, not investment banking

    也許是利維先生在保險業而不是投行業的工作背景幫助其達成了一項降低風險的交易。
  5. To guard against and reduce the probability of systemic financial shocks, there is a need for more attention to risk management and monitoring and increased transparency

    為了防範及減少發生系統性金融震蕩的機會,大家需要加倍關注風險管理與監察,以及提高透明度。
  6. On the basis of accurately mastering the essence of financial risk, the article begins with the determining mechanism of it ' s most important form ? inancial debt ratio and divides the financial risk into three parts according to their different effecting factors : risk of financial mechanism, risk of financial policy and external financial risk. connecting with the reality, the article analyses the three kinds of financial risk and puts forward the proposal to administer and reduce the financial risk

    在準確把握財政風險涵義的基礎上,本文從財政風險最重要的表現形式? ?財政債務負擔率的決定機制入手,根據其各自不同的影響因素將財政風險劃分為財政機制風險、財政政策風險和外生財政風險,並結合我國現狀分別加以分析,據此對我國財政風險的管理、化解和防範從公共財政建設、財政政策建設和財政風險管理機制等多方面有針對性地提出應對之策。
  7. There are a lot of advantages in mixed operation, such as : reduce the risk of the bank ; strengthen the competitiveness of business bank, lowering costs etc. but mixed operation strengthens the degree of difficulty in financial supervision

    實行混業經營的有利方面很多,諸如:降低銀行風險、增強商業銀行競爭力、降低成本等等,但是實行混業經營也帶來了金融監管的難度加大。
  8. As a new security means for loan, it has broken the limit of the traditional real guarantee thoery, and initiated a new real guarantee means by which real estate company can raise a loan from banks easier, banks reduce his financial risk and house consumer be available to buy house ahead schedule

    二十世紀九十年代以來,樓花按揭在內地廣泛流行,作為一種新型的融資擔保方式,它突破了傳統物權擔保僅以現有財產為標的的限制,開創了以預購商品房的房產期待權為擔保標的新模式。
  9. It includes how to establish a sound institution of risk management and to better management principles ; how to develop a net technology with a independent intellectual property to ensure a safer net banking ; how to institute a social consultant agent and credibility system to reduce the risk to the bottom line ; how to strengthen the construction of the related laws to secure a fair just and order financial environment, how to strengthen banking supervision to secure a effective risk management ; how to enroll a highly q

    由於我國網路銀行風險管理存在諸多問題,影響著我國網路銀行的正常發展,為此筆者提出了自己對加強網路銀行風險管理的一些想法,主要包括建立健全風險管理組織機構和完善管理規章制度;發展先進的具有自主知識產權的網路技術,全面提高網路安全性能;建立健全社會資信咨詢機構和信用制度,最大限度降低信用風險;加強法制建設營造公平、公正、有序的網路金融環境;加強銀行監管,確保網路銀行風險管理外部監督的有效性;努力建立一支高素質復合型的網路銀行經營與管理人才隊伍。
  10. As one of the instruments and measures of banking regulation, regulatory authorities request commercial banks to raise adequate capital for their risk assets, in order to provide a cushion for capital loss, reduce bankruptcy probability and guarantee the security of our financial system

    作為銀行監管的保護手段,資本充足性管制要求銀行依據其風險資產的總體水平配置充足的資本金,以吸收銀行經營中遭遇的意外損失,起到短期的風險緩沖器作用,從而維護銀行體系的穩定。
  11. For financial report users, though consolidated financial statement can fairly present the financial condition and operating results of yindu group as a whole, it ignore some important information of diversified operations, making the users of financial information unaware of the profitability, prospect and risk condition of different industry and geography while the enterprise groups diversifying their operations in order to occupy markets and reduce risks. as the investors and other financial information users pay more attention to the segmental information, the demands for segmental report are increased

    對于報表使用者來說,雖然合併報表可以總括地反映銀都集團的全貌,滿足信息用戶了解整個集團的財務狀況和經營成果的要求,但是,由於集團經營的多元化,報表使用者難以利用公司整體的財務資料來深入分析企業經營得失的原因,而隨著理性程度的提高,投資者和其他財務信息使用者對集團分部信息的關注程度日益提高,對銀都集團分部報告的要求也隨之增加了。
  12. We found that by organizing such fairs, media firms can use their own sources to reduce financial risk and achieve operational synergy

    本文發現,媒體資源應用在本身舉辨的展覽活勤,可降低財務風險並促進營運綜效。
  13. It analyzes the reasons why m & a cause financial risk and puts forward many measures that can be done to control and reduce financial risks of m & a

    論文從財務風險的成因入手進行分析,並相應提出了防範財務風險的措施。
  14. In the overall view, the performance of d to e not only revive bad assets of commercial banks ? but also prevent and reduce financial risk. the following is its active effects : 1. d to e make state - owned capital system and ownership more standard. and clear > state lible limitedly for state - owned enterprise come into reality ; it reduce the presure or up - to - date domestic derlationary. 2. in the view of the society and long nm, d to e may aim variously ? such as promoting reform of state - owned enterprises and commercial banks. 3. compared with the modern bankruptcy or insolorency system ? d to e can obtain more social benefit and effects

    從整體上看,債轉股的實施盤活了商業銀行不良資產,一定程度上防範和化解了金融風險,同時還有如下正面效應:第一,債轉股使國有企業資本制度和產權明晰問題得以規范和明確,實現國冢對國有企業負有限責任,並有利於緩解我國當前的通貨緊縮壓力;第二,從社會整體和長遠利益來看,債轉股的實施應有利於達到推進國有企業和商業銀行改革等多重目標;第三,與觀代的破產清算制度相比,債轉股可以獲得更好的社會利益和社會效果。
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