corporate risk 中文意思是什麼

corporate risk 解釋
公司風險
  • corporate : adj. 1. 〈古語〉團結的。2. 法人的,團體的。3. 共同的,全體的。4. (大)公司的。5. 總體國家的。
  • 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. Adopting rational agent characteristic could add the auditor into corporate contract to educing optimum solution ; opening out the auditor incentive factors in auditing demand theory and the monitor mechanism of auditing. a multi - agent corporate model including the firm owner, the manager and the auditor of the corporate is analyzed in the paper, the conclusions are : educing the optimum solution of model which could prevent the manager and the auditor becoming collusive or skulked ; clarifying the relationship between monitoring of the firm owner and working of the auditor, and illustrating the behavior combination of optimum solution ; further analyzing the relationship among monitoring degree, punishment of auditor and the auditor risk. adapting the model from a single term to serial terms, and adding the non - monetary utility of auditor - - - reputation into the model ; describing behavior of the firm owner in reality and clarifying the necessity of monitoring by the owner and the environment improvements it needs

    論文採用所有者經理人審計師多代理人模型為基礎進行分析,主要成果是:得出能夠防止共謀和不努力工作的模型最優解集合;通過因素分析闡明審計師工作努力程度與所有者監控力度之間的直接關系,以及審計合約最優解的行為策略組合及其制定順序;引申分析所有者監控力度與審計風險、審計師懲罰力度之間的關系;成功的將模型從單一期間擴展到多期間情況,並且將審計師聲譽等非現金收入形式的效用影響加入到模型當中;通過分析審計實務中的所有者行為特徵說明所有者對審計師工作實施監控的必要性,以及實現該監控所需的條件。
  2. Sales of corporate bonds and leveraged ( high - risk ) loans are breaking records

    公司債券的銷售和杠桿融資(高風險)都正破記錄。
  3. Corporate credit risk analysis

    企業信用風險分析
  4. If there is one market that sums up the insouciant attitude to risk, it would have to be corporate debt

    如果有一個市場總結了這種對待風險的漫不經心的態度,它必然會是公司債務市場。
  5. 2 lower risk : there is no credit risk of government bond, and the financial bond and corporate bond issued by sound financial institutions are safer than the other securities

    二風險相對較低:政府公債以及金融債券較少債信問題至於優良企業所發行之公司債,相對于其他證券亦較安全。
  6. Corporate system is a typical form of the modern enterprise system ; it is the result of modern market economy and the large - scale socialized production. because of the limited risk and the unlimited benefit, it greatly stimulates the investor ’ s enthusiasm and strongly promotes the development of contemporary society. corporate capital is the “ blood ” on which a company should live, the material base for management of a company, and property foundation for a company ’ s responsibility

    公司制度是現代企業制度的典型形態,是現代市場經濟和社會化大生產的產物,它以投資者風險責任的有限性和資產受益的無限性極大地刺激了投資者的積極性,快速地推動當代社會的發展;公司資本是公司賴以生存的「血液」 ,是公司經營的物質基礎和公司對外承擔責任的財產基礎;現有法定、折衷和授權三種資本制,英國、美國等實行授權資本制,德國、日本、韓國等最初實行法定資本制,因實踐中存在的問題越來越多,先後改法定資本制為折衷資本制;近年來,就實施何種公司資本制度最有利於公司的發展成為大家關注的問題,學者們眾說紛紜,並沒有達成一致意見。
  7. Chapter one reviews the theoretical literatures, some of which form the corporate irm solid theoretical foundations that involve utility function theory, risk portfolio theory, hedging theory, agency & bankruptcy theory, capm & option pricing theory, and risk society & risk culture theory

    論文分析和介紹了包括效用函數理論、風險組合與分散理論、企業套期保值理論等經濟理論;包括markowitz的資產組合理論、資本資產定價模型、期權模型等金融理論;包括代理理論、破產成本理論、企業融資成本理論等財務理論。
  8. Our professionals have comprehensive, international expertise in a broad range of business consulting practices including assurance, benefit plan services, corporate finance, risk consulting, forensic services, performance services, tax consulting, and technology

    我們的專業人仕具有全面性以及國際性的商業咨詢專才,包括審計、福利計劃、企業財務、風險咨詢、鑒定服務、表現評估、稅務咨詢及科技咨詢等服務。
  9. Managing risk for corporate governance

    法人管理方法的管理風險
  10. The defections of the banking corporate governance and its influence on the credit risk are analysised in this paper. the relationship between the credit risk and the banking corporate governance is demonstrated in a game model. the insider control facts, such as the loans beyond the limit, loan off the balance sheet, investment in other enterprise that happened in the history, revealed that the effect of banking corporate governance on the credit risk

    論文探討了銀行治理結構的內涵,分析了國有商業銀行治理結構的內在缺陷及其對銀行信用風險的影響,對銀行和企業之間的博弈分析揭示了公司治理缺陷與信用風險的內在聯系,對建設銀行繞規模貸款、帳外帳、自辦實體等內部人現象的數據分析證實公司治理缺陷對形成信用風險的影響程度。
  11. In addition, bp has distinctive strengths in energy statistics and information, risk assessment and management, corporate governance, and hse. it actively participates in the discussion of major global hot issues ( like global climate change and greenhouse gas emission ) and put into practice mitigation measures

    另外, bp公司在信息統計,風險預期與管理,企業良治,健康,環境與安全( hse )等方面都具有獨到的優勢,並積極參與全球重大熱點問題(如全球氣候變化和溫室氣體排放等)的探討和實踐。
  12. Topics to cover include the time value of money, net present value and other investment criteria ; use of discount cash flow for investment decision ; risk and return of investment ; project analysis, corporate financing, capital structure ; financial statement analysis, financial planning ; working capital management ; cash and inventory management ; risk management

    涵蓋的主題包括金錢的時間價值,凈現值和其他投資準則;運用現金流量貼現法作投資決策;風險及投資回報,項目分析,合作融資,貨幣結構;財務報表分析,財務計劃;營運資本管理;現金和存貨管理;風險管理。
  13. If you are not a risk taker, then something in corporate life is left

    如果你不是一個敢於冒險的人,那麼在一家普通的公司工作也還給你留下了選擇的餘地。
  14. The hong kong monetary authority hkma today tuesday announced that the financial secretary, following the advice of the governance sub - committee of the exchange fund advisory committee, has approved the appointment of mr y. k. choi as deputy chief executive, and of mr edmond lau as executive director strategy and risk and mr christopher munn as executive director corporate services. these appointments will take effect on 1 june 2005

    香港金融管理局金管局今日星期二宣布,財政司司長在聽取外匯基金諮詢委員會轄下的管治委員會的意見后,已批準委任蔡耀君先生為副總裁劉應彬先生為策略及風險部助理總裁,以及文基賢先生為機構拓展及營運部助理總裁。
  15. In this paper, to guard against credit risk for the financial industry, the financial sector over recent years there some corporate customers providing false financial information, and this affects the financial and credit policy, which led to the financial assets elaborate security issues

    本文就為金融業防範信貸風險,針對近年來金融業中一些法人客戶出現提供虛假財務信息的現象,從而影響了金融信貸決策,進而導致金融資產的安全等問題進行闡述。
  16. Compliance management is an indispensable part of overall corporate risk management

    摘要合規管理是企業全面風險管理的重要組成部分。
  17. Reflecting developments in risk management practices in the financial sector, a number of improvements to corporate risk management in the hkma were introduced in 2005

    金管局於2005年因應金融業在風險管理方法上的最新發展,對內部風險管理作出了多項改進。
  18. Assurance of compliance is given and monitored each year. compliance with the code is subject to review by the board supported by the audit committee of the board and the corporate risk committee

    我們為這個承諾而奮斗著,金科人是平凡的,也是偉大的,因為我們已經向自己承諾我們必須是最好的。
  19. How to improve the modern enterprise management system of internal control systems, the authors believe : should strengthen internal control theory research, and establish a sound system of internal control standards ; my powers of the board of trustees of rescheduling pattern, the introduction of independent directors system, improve corporate governance structure ; strengthen enterprise crisis management awareness, the establishment of corporate risk control systems ; implementing people - oriented human resources management strategy ; strengthening the independence of the internal audit, with the establishment of modern enterprise system suited to the internal audit model, and improve enterprise effectiveness and efficiency of internal controls

    如何完善現代企業治理機制下的內部控制制度,筆者認為:應加強內部控制理論的研究,建立健全內部控制的標準體系;重新安排我國董事會的權力格局,引進獨立董事制度,完善公司法人治理結構;加強企業危機管理意識,建立企業風險控制系統;推行以人為本的人力資源管理策略;加強內部審計的獨立性,建立與現代企業制度相適應的內部審計模式,提高企業內部控制的效果和效率。
  20. Discussion topics include corporate risk management, housing market, economic growth in china, privilege and discrimination, monetary policy, the role of exchange rate, risk and investment, foreign trade, etc. the conferences main purpose is to foster an exchange of ideas among economists on both sides of the pacific as well as around the world

    當中舉行四十多個不同議題的小型會議,題目包括公司風險管理房屋市場中國經濟增長特權及歧視金融政策匯率的角色風險及投資海外貿易等。會議上將就不同層面深入研究及討論經濟問題,希望各項意見能對亞太地區,以至全球經濟有所裨益。
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