財政風險 的英文怎麼說

中文拼音 [cáizhèngfēngxiǎn]
財政風險 英文
fiscal risk
  • : 名詞(金錢和物資的總稱) wealth; property; valuables
  • : 名詞1 (政治) politics; political affairs 2 (國家某一部門主管的業務) certain administrative as...
  • : 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...
  • 財政 : (國家對資財的收入與支出的管理活動) (public) finance; government finance; public economy
  • 風險 : risk; hazard; danger
  1. ( 1 ) financial risk is summed up : have analysed a researcher and is expound the financial risk and risk this of the possibility of the financial crisis takes place and stated basically to the definition of the financial risk both at home and abroad in this chapter, point out at the same time mat the financial risk has objectivity, endogeny and other natural disposition the characteristics of compatible, disguise and accumulating nature, and has observed to the present china ' s finance potential risk theory : namely scholar attempt mostly

    ( 1 )財政風險概述:本章分析了國內國外研究者對財政風險的定義,並闡明財政風險是發生危機的可能性的這一基本表述,同時指出財政風險具有客觀性、內生性與外生性並存、隱蔽性和累積性的特徵,並對當前中國潛在理論進行了評述:即學者大都試圖通過對于國債規模與結構是否合理的判斷來判別中國是否存在著危機。
  2. The fiscal risk should n ' t be overlooked during the application of the expansionary fiscal policy

    擴張性策的運用不能忽視財政風險
  3. The meanings, the characteristic and the macroscopical economy effect of the finance risk are analyzed. if the finance risk cannot be solved in good time, the conflict will be increasingly spiculate, which maybe leads to serious result to the economic development in our country

    本文首先闡述了一般理論,分析了財政風險的含義、特徵及其宏觀經濟效應,並指出如果財政風險不能及時化解,矛盾日益尖銳,將有可能給我國社會經濟發展造成嚴重後果。
  4. 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化解的基本思路:轉變職能,建立公共;建立財政風險防範機制;理順分配關系,深化稅改革;加強監督立法,最終防範和化解財政風險
  5. 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策。伴隨積極策的實施,我國赤字和國債規模節節攀升,引起了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。
  6. Chapter one theory on public risk and fiscal risk

    第一部分公共理論與財政風險
  7. A study on controlling and preventing local fiscal risks

    關于控制和防範地方財政風險的研究
  8. 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
  9. 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
  10. 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
  11. Analysis of china ' s fiscal risk under the framework of public finance

    公共框架下我國財政風險分析
  12. 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
  13. 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

    本文運用經濟學基本理論,結合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。
  14. 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,消除誘發危機的各種因素。論文分四部分來系統研究我國財政風險的防範。
  15. Though this kind of measure optimized the structure of investment, increased the quality of our economic operation, stimulated a fast economic growth, a long - term dependence on state bonds investment may result in debt crisis and a decrease in investment efficiency

    盡管國債的發行優化了投資結構,提高了我國經濟運行的質量,拉動了經濟的快速增長,但是,如果長期依賴國債投資可能導致財政風險增加和投資效率遞減。
  16. On the positive financial policy amp; the financial risk

    論積極策與財政風險
  17. The financial risk is one part of the system of economic risk

    財政風險是經濟體系的一個組成部分。
  18. The text uses the macroeconomic model to analyze the measurement mechanism of the financial risk datum point level. it describes the basic mechanism that the loss factor conducting with the whole macroeconomic environment in the financial system in detail at the same time. and it analyzed the original cause of the condition that transforms each other briefly and the basic theory of fiscal crisis

    在這些分析的基礎上本文把管理理論系統地引入財政風險研究中來,分析了財政風險過程的基本特徵,闡發了財政風險轉化條件、基準點等概念,運用宏觀經濟模型構建了財政風險基準點水平的衡量機制,詳細描繪了損失因素在系統內部和整個宏觀經濟環境中傳導的基本機理,並簡要分析了危機的成因、發生條件和向其他領域危機相互轉化的條件。
  19. Control of financial risks and monetary risks

    控制財政風險與金融的相互轉化
  20. Analysis on institutional factor of chinese financial risks

    財政風險問題的若干思考
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