bad debt risk 中文意思是什麼

bad debt risk 解釋
壞賬風險
  • bad : adj (worse worst )1 壞的,惡的,歹的,不好的,不道德的。2 不正確的,錯誤的。3 不中用的;低劣的...
  • debt : n. 1. 借款,欠款,債務,債。2. 情義,恩,恩義。3. 【宗教】罪孽。
  • 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. Unqualified capital index, high liquidity debt ratio, high bad loan ratio and weak adaptive ability can induce liquidity risk

    資本金充足率不達標、流動性負債比例過高、不良貸款比率居高不下、對宏觀環境變化應變能力不足都有可能誘發流動性風險。
  2. It is in the nature of risk - taking that some risks will inevitably materialise - a loan may turn bad, a holding of debt securities may depreciate in value because of an interest rate hike, a long position in foreign exchange may involve book losses when the domestic currency strengthens

    鑒于銀行承受多種不同風險,無可避免地部分風險會實現例如貸款變成壞帳息率飆升時債券價格下跌本地貨幣轉強時外幣長倉可能會出現帳面虧損等。
  3. Asset securitization, which transfers inflexible loans into security through operation outside asset - debt form, could increase credit capital ' s flowablity, improve capital adequacy ratio, decentralize financial risk and handle bad assets

    資產證券化的現實意義在於,通過表外處理,把不具有流動性的貸款轉化為證券,可以提高信貸資產的流動性,提高資本充足率,分散金融風險,處置不良資產。
  4. The planned sale would dramatically reduce intesa ' s bad debt exposure and achieve mr passera ' s aim of improving the bank ' s risk profile

    計劃中的交易將大幅降低聯合商業銀行的壞賬敞口,並達到帕塞拉先生希望改善銀行風險狀況的目的。
  5. So far, the property rights misplacement of four to p state - owned commercial banks is still unsolved, leading to the distort of banks " control, banks " bad - debt rate, growth of credit granting risk, worsened operation and influenced granting abilities

    企業對項目的急於上馬,盲目投資,給銀行帶來的風險,銀行家的口頭承諾給企業帶來的損失,都影響了雙方的關系。從政府對中小企業的政策來看,政府缺乏對中小企業的扶持。
  6. At present, international banking apply developed risk assessing and controlling system to manage risks, and cause bad debt ratio down extensively

    目前,國際銀行業運用先進的風險評估及風險控制系統對消費者貸款進行風險管理,使得銀行壞帳率在最近幾年有很大下降。
  7. 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。
  8. Because the company uses the “ direct money and products exchange ” sale method, which guarantee the company ' s capital return on time and current circuit system and avoid the risk of bad debt and dead debt risks, funon company obtains good financial status and runs well without bad loans and debts

    由於實行銷售現款現貨制,有力地保證了資金及時回籠和公司現金流,完全規避了呆帳、壞帳風險,因此財務狀況良好,沒有任何不良債權債務,公司運轉十分正常。
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