清收風險 的英文怎麼說

中文拼音 [qīngshōufēngxiǎn]
清收風險 英文
recovery risk
  • : Ⅰ形容詞1 (純凈) unmixed; clear 2 (寂靜) quiet 3 (清楚) distinct; clarified 4 (一點不留) w...
  • : Ⅰ動詞1 (把攤開的或分散的事物聚集、合攏) put away; take in 2 (收取) collect 3 (收割) harvest...
  • : 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...
  • 風險 : risk; hazard; danger
  1. The model of this paper explores the links between the following factors and the credit rationing in china. the change of banks " attitude to credit risk may lead to credit rationing ; banks give much more emphasis on the trade cost and the payable value of collateral, which may give rise to credit rationing ; the decreasing of asset price during economic stagnation produces credit rationing ; the bias of banks " objective function from the maximization of profit and the transformation of the function relating to the reform of the financial system cause credit rationing ; if different parts of the whole markets are not integrated, the credit in the part with low capital return ratio will be rationed. during economic recession, banks tend to ration the credit in the high - risk market ; the removing of interest ceiling will narrow down the interest spread of deposit and credit at least during a period, which may strengthen credit rationing ; meanwhile, the vulnerable borrowers, including small and middle - sized enterprises, will get more credit from banks even though they have to pay a higher interest rate

    論文的模型探討了下列因素和中國信貸配給現象之間的聯系:商業銀行對信貸的態度變化,在辨別和控制信貸上開始投入大量的成本,這一過程會導致信貸配給;商業銀行對與法治環境相關的交易成本和抵押品償價值的日漸關注會導致信貸配給;宏觀經濟緊縮時期資產價格下降會導致信貸配給;商業銀行經營目標函數偏離利潤最大化,近幾年金融業改革過程使商業銀行目標函數發生變化,這一變化過程可能導致信貸配給;在市場分化的條件下,益水平低的市場會遭受信貸配給;在經濟下滑時期,商業銀行尤其會對高市場配給信貸;利率市場化使商業銀行的存貸利差至少在一段時間內縮窄,利差縮窄可能加重信貸配給的程度:在利率市場化條件下,弱勢借款者,包括中小企業,遭受信貸配給的程度可能得到緩解,但支付的貸款利率水平將會升高。
  2. It point out that the essential of municipal bond is the problem on repaying debt and assuring to local governments, the key factor is to enhance credit through credit enhancement, the extrude specialty is its revenue of interest except from tax. after analyzing an obligation and revenue bonds, it studies the origination : its issue principal part, the usage of financing, investors and intermedium ; the steps on the control of risk : the restriction on rights to creditor and the volume of debts ; the special regulation department ; the wide exertion of market and the clear duty system and guarantee on repaying

    在分析一般責任債券和入債券后,探討了市政債券市場的運作,具體分析了市政債券的發行主體、資金用途、投資者和中介機構;在此基礎上,深入研究了美國市政債券市場的防範措施:法律對舉債權和舉債規模的嚴格限制、設置專門的監管機構、廣泛發揮社會的監督力量、建立晰明確的責任體系和通過保加強債券的償保障。
  3. The thesis consist of six chapters and based on the way of propose the question, analysis, then get the solution. it discussed and recognized what the ship transportation cost was in chapter one ; studied the environment and growing trend of the cost in chapter two ; fully discussed and demonstrated the voyage variable costs and controlling method, proposed a mathematic decision model of fuel supplying and get through the validation, proposed the concept of risking cost and addressing many controlling measures to it in chapter three ; discussed a certain running costs, proposed and validated a mathematic model of condition - based maintenance, and put forward many practical controlling method of running costs such as crew payment, repairs, spare parts, stores and lub oils in chapter four ; combining a case of monthly running cost budget and verification, performed a useful learning on running cost budget, forecast and verification in chapter five ; finally fully studied the method of cost - calculating and benefit - analyzing of time chartering container ships on a proposed route

    第一章主要討論並認什麼是船舶運輸成本;第二章研究了船舶運輸成本的生存環境和生長趨勢;第三章詳細論述並論證了航次變動成本的控制措施,提出了燃油補給方案的決策模型並給出了模型的驗證過程,提出了航次成本的概念並論述了若干航次成本的控制措施;第四章對船舶營運成本中的船員費用、維修保養費用、備件、潤物料費用等幾個主要的可控性較高的成本進行了細致的分析並分別討論了相應的控制措施,提出了基於狀態維修決策的數學模型並論證了模型的正確性及具體解算步驟,對于備件、潤物料的控制堅持以科學的預算為前提,以申領、接、使用、盤存為控制環節,切實做到理論與實踐的密切結合;第五章結合營運成本的預核算的案例,對船舶運輸營運成本的預算及核算進行了有益的探討;第六章結合具體案例對期租班輪的成本測算與效益分析方法進行了細致的研究。
  4. In the first part, to show all kinds of potential risks during the acquisition process, the author reappears the situation and presents the main problems through six plots in time order, such as drainage of important personnel, subsidiary corporations be charged to clearing, latent liabilities and legal issues, etc.

    案例描述部分是以情景再現的形式,按時間順序,通過六個情節將abletechnologylimited購森泰集團有限公司股權所面臨的主要問題逐一展現,如重要人員流失、附屬企業被控盤、潛在的負債及法律糾紛等,從而顯示出abletechnologylimited在買殼上市過程中的各種
  5. By introducing the informal proportion of profit, the author sets up a mathematic model to explain how to control the unlawful income as to lessen the adventures and regulate the unfair tradings. to meet this end, affective supervision mechanism should be established. the standardization of the affiliated trades of the listed corporations must depends on the inter - supple

    通過引進關聯交易的非正常益率,建立數學模型,說明怎樣通過控制關聯交易的非正常益來控制關聯交易的益,從而減少和規范不公平關聯交易,使我們對關聯交易產生的機理,從而真正規范上市公司的關聯交易有更晰和深刻的認識。
  6. In the light of the financial risk disposal experiences of the developed risk this article analyzes deeply the drawbacks and obstacles related regulations and the challenges to our financial supervisor which come from the risk of imperfect small and medium financial institution, and then put forward some suggestions on these problems systematically. the author believes in order to dissolve the risks of imperfect small and medium financial institution, at first we should make a right judgement on it, hold six principles ( including disposal, salvage, combination. . ), take some measures such as ego salvage, government - salvage, reconstruction, acquire or annexation, administrative close and rescission

    本文研究認為,要有效化解與處置有問題中小金融機構,首先就要對出現流動性困難、資不抵債、出現支付困難等有問題中小金融機構進行正確判斷,要充分把握有問題中小金融機構的依法處置、努力救助、分類處置、內外結合、維護金融穩定和社會安定以及責任追究等六大原則,合理採取自我救助、政府救助、同業救助、重組、購或兼并、依法行政關閉和撤銷、依法破產算等化解和處置措施。
  7. Investor must have sober knowledge to oneself, want the respect such as the age from oneself and income, risk that can assume and expectant earnings to set out, balance chooses to fit his product

    投資者一定要對自己有醒的熟悉,要從自己的年齡和入、所能承擔的和期待的益等方面出發,權衡選擇適合自己的產品。
  8. For purpose of the characteristic of open - up fund, this article proposes three asset management methods, furthermore it also talk about the investment strategy of open - up fund under the environment of china security market

    本文針對開放式基金的特點,從益平衡的角度提出了其資產管理可採用的三種方法:贖回比率法,隨機模式法和持有人單法,並進一步闡述了現實我國證券市場制度環境下開放式基金的運作策略。
  9. The administration will also conduct serological studies on the local pig population to gather more scientific data with a view to enhancing our risk assessment capability as well as other preventive measures

    政府亦會為本地豬只進行血測試,以集更多資料,提升我們的評估能力以及其他預防措施的效能。
  10. 6 there is risk if i / we provide you with an authority that allows you to apply my / our securities or securities collateral pursuant to a securities borrowing and lending agreement, repledge my / our securities collateral for financial accommodation or deposit my / our securities collateral as collateral for the discharge and satisfaction of its settlement obligations and liabilities

    向閣下提供授權書,容許其按照某份證券借貸協議書使用本人/吾等的證券或證券抵押品、將本人/吾等的證券抵押品再質押以取得財務通融,或將本人/吾等的證券抵押品存放為用以履行及償其交責任及債務的抵押品,存在一定
  11. There is risk if you provide the licensed or registered person with an authority that allows it to apply your securities or securities collateral pursuant to a securities borrowing and lending agreement, repledge your securities collateral for financial accommodation or deposit your securities collateral as collateral for the discharge and satisfaction of its settlement obligations and liabilities

    向持牌人或注冊人提供授權書,容許其按照某份證券借貸協議書使用你的證券或證券抵押品、將你的證券抵押品再質押以取得財務通融,或將你的證券抵押品存放為用以履行及償其交責任及債務的抵押品,存在一定
  12. In term of special meaning, qinghuatongfang as the epitome of the qingnhua university, the project is the symbol venture of hig - tech enterprise, can be regarded as an epitomes or sample of the public company ventrue capital, individually qinghuatongfang con be called the ridgepole and bear of the public company representative of the high - technology enterprise, no matter on its product scale, management level or the income from sale and profit level

    從特殊意義上來講, 「華同方」作為代表最高學府華大學的校辦企業,投資項目均具有高科技的特徵和,可以看作是上市公司特殊類型的一個代表與象徵,個別地講, 「華同方」無淪是其企業規模、管理水平,還是銷售入與利潤水平,都可稱為是上市公司中的棟梁,高科技企業的代表。
  13. They remarked that, while it was extremely difficult to decompose the yield spread and attribute its components quantitatively to various risk factors, it appeared that long - term currency risk had been the main concern for investors over the crisis period, although, in retrospect, the risk seemed to have taken the form of confounded expectations

    委員會又認為,雖然要把益率差距分解,並將有關的組成部分量化及歸類為不同的因素十分困難,但在危機發生期間,貨幣似乎是投資者的關注重點。盡管如此,事後看來,有關似乎涉及一些混淆不的預期。
  14. In the fund - collecting aspect, following the particularity of it and the problems during the developing process, the author appoints the potential function that the popular capital will be introduced to vc. in view of high risk of vc, the author specially presents two methods of evaluation of investment item. following the advanced experience of foreign countries, the author recommends four withdrawing methods, such as initial pubic offering ( ipo ), sell, mergers & acquisitions ( m & a ) and clear account of bankruptcy

    在融資方面,從融資的特殊性著手,結合我國當前融資存在的問題及對策,重點指出將民間資本引入投資的潛在作用;由於投資存在高,項目評價部分對投資項目的益進行評價分析,然後論述了投資項目的幾種評價指標評價;結合國外投資退出經驗,文章提出ipo 、出售、並購和破產算等四種投資退出方式,並分析其在我國的適用性,指出並購是我國目前最合適的退出路徑。
  15. As lack of sufficient state revenue, the debt burden will make local public finance sink into inadequate liquidity crisis, which will become a major affecting stead operations of local public finance as well as sustained growth of local economy. under these circumstances, the research on the debt of local government become an urgent need

    近年來,隨著經濟增長趨緩,地方政府債務負擔日顯突出,在缺乏入保障的條件下,地方政府債務積累會使地方財政陷入償能力不足的危機,成為沖擊地方財政運行的重要因素,制約地方經濟社會的可持續發展,在此情況下研究地方政府債務問題顯得尤為迫切。
  16. After joining wto, on the increase of the scientific and technological strength of our country and with the support from state policies, the development of new high - tech enterprise will be swift and more violent, and its competition is fiercer. this must lead to the fact that merged among enterprises, bankrupt behavior of transactions clearing, the judicial dispute etc, take place even more frequently ; on the other hand, the new high - tech enterprise is the enterprise of " high investment, high risky, high income ", so it must supplement financing on different scales at its different development stages and carry on the effective value management taking value chain as the core, to satisfy the shareholder ' s request of high repayment by creating value as possible as it can

    加入wto后,隨著我國科技力量的增強和國家政策扶持力度的加大,高新技術企業的發展更加迅猛,相互間的競爭也更加激烈,導致企業間的並購、破產算和司法糾紛等產權交易行為頻繁發生;另一方面,高新技術企業作為「高投入、高、高益」的企業,在其發展的不同階段需要發生不同規模的融資行為,還要對企業進行有效的以價值鏈為核心的價值管理,以最大可能的為企業創造價值。
  17. By contracting with jiangmen yian last year, the group has gained substantial knowledge of their factory management operation and the local operating environment, which has greatly helped to reduce our investment risk.

    集團在過去一年先以承包方式與怡興合作,購前已楚了解該廠的管理運作及當地的經營環境,大大減低投資
  18. Global clearinghouse leaders discuss best practices for risk management and clearing including risk monitoring, default mechanisms, lines of credit, margining, security deposits, and insurance

    作為全球票據交換的主要公司,在這個專題中將探討管理和算的經驗,包括監控、違約機制、信貸限額、限額邊界、保證金取、準備金和保
  19. Our offering covers every stage of these services for both personal and business risk solutions, from on - line credit information, updated credit reports, reminders and collection to debt surveillance and collection of written - off receivables

    其服務涉及個人和商業管理的各個環節,包括在線信用資料,最新的信用報告,欠款的繳費提醒與代服務和呆壞帳的工作。
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