It refers to main contents about theories of human capital risk management and early warn management.
概述人力资本理论,风险管理理论和企业风险预警管理理论的主要内容。
Accounting exchequer stock is the vital part in county (city) People's Bank to guard against and avoid capital risk.
会计国库股是县(市)人民银行防范和规避资金风险的要害部位。
The risk a bank faces includes Credit risk, Market risk, Capital risk, Liquidity risk, Foreign Exchange risk and Operational risk.
商业银行面临的风险包括信用风险、市场风险、资本风险、流动性风险、外汇风险、操作风险。
Furthermore this paper has established the insurance company utilization of capital risk management system as well as internal risk control measure.
再者建立了保险公司资金运用的风险管理体系以及内部风险控制措施。
The financial risks of futures brokerage firms involve management risk, operation risk, capital risk and technical risk with a focus on capital risk.
期货经纪公司的财务风险主要表现在其管理风险、经营风险、资金风险和技术风险上,其中最重要的是资金风险。
Technological innovation risk is resulted from the technology risk in the product developing process, the production risk , market risk, capital risk and management risk;
技术创新风险产生于开发产品的技术风险、生产风险、市场风险、资金风险以及管理风险;
However, deficiency existed in terms of the development of match related business affairs, commercial sponsoring strategy, intangible asset development, and capital risk control.
但在赛事的商务开发、商业赞助策略、无形资产的开发以及资金风险控制方面存在不足。
The commercial bank itself undertakes various types risk in the operation, including credit risk, interest rate risk, fluid risk, management risk, capital risk and policy risk and so on.
商业银行在运营中本身承担着各种类型的风险,包括信用风险、利率风险、流动性风险、管理风险、资本风险和政策风险等。
We knew the financial holding company often has the profession risk, the capital risk, the management risk, the management risk , as well as the risk transmission in the operation , and so on.
我们知道金融控股公司在运营中往往具有行业风险、资本风险、经营风险、管理风险以及风险的传递等额外风险。
Second, it adopted the idea of comprehensive risk to research the risk management of colleges. The article gives adequate consideration to colleges'other risks and management besides capital risk.
第二,采用全面风险观念来研究高等学校的风险管理,本文除了考虑了高等学校的资金运作风险外,还较全面的考虑了高等学校的其它风险及其管理。
"The one thing I know the Banks are concerned about is their risk capital," he said.
他说:“我所知道的银行关心的一件事就是他们的风险资金。”
As for JPMorgan Chase, it has kept a tight rein on risk, managed capital well and acquired sensibly.
至于摩根大通,它保持了对风险的严格控制,有效的管理资金和明智的收购。
This view dovetails neatly with a five-year-old plan to drag their management of capital and risk into the modern age.
上述观点与一项为期五年的计划完全吻合,该计划使欧洲央行对资金与风险的管理更具现代感。
The inflationary threat from this, as well as the risk capital it provides, pushes money toward commodities.
由此带来的通胀威胁,以及所提供的风险资本让资金流向了大宗商品。
Blue Nile adopted a virtual model, in which it provides a shop window for suppliers yet does not put any of its own capital at risk.
蓝色尼罗河采用虚拟模式,它为供应商提供一个虚拟橱窗,而不用冒险投入自己的资金。
Since 2000, however, the cost of risk capital has gone up in spite of dramatically falling interest rates.
然而自从2000年以来,随着利率不断大幅下降,风险资本成本一路上升。
Reducing capital outlay and reducing risk — these are traditional corporate goals!
减少资金投入,降低风险——这些正是企业的传统目标!
And lower interest rates won't do the trick, as they won't bring down the cost of risk capital.
此外,低利率也无法解决问题,因为它们无法降低风险资本的成本。
Banks should be forced to fund themselves with a lot more equity and other risk capital—possibly using bonds that automatically convert to equity when trouble strikes.
银行应该被强制要求在融资时大幅度提高股本和其他风险资本的金额——也许利用那些在遇到状况时能够自动转化为股本的债券。
When companies start growing again they suddenly need more working capital: they risk falling into the trap of overtrading, the bank warned.
但公司重新恢复增长时他们突然需要大量的流动资金:银行警告说,企业都陷入了一个过度交易的风险漏洞。
For much of the 1980s and 1990s, any decrease in interest rates was mirrored by a similar drop in the cost of risk capital, spurring innovation.
1980和1990年代的多数时期,任何利率的下降都会导致奉献资本成本产生近似的下降,从而刺激革新。
Risk capital is rare. Bankruptcy is severely punished.
在这里基本没有风险资本,而破产会受到严厉的惩罚。
It will stream towards more creditworthy borrowers. It will follow a more defined course, constrained by embankments of capital, funding and risk management.
在未来,信贷将如河流般,流向更有信誉的借款人,其路线也因有了资金、债券和风险管理的堤岸的管束而更加明确,它更多的会流向国内,而不是全球。
Risk management and capital minimum requirement for financial institutions.
金融机构风险管理和资本最小需求。
Basel 2 invites Banks to choose between two approaches when calculating credit risk and capital allocation.
在计算信用风险和配置资本问题上,《新巴塞尔协议》为银行提供了两种方法供他们选择。
Basel 2 invites Banks to choose between two approaches when calculating credit risk and capital allocation.
在计算信用风险和配置资本问题上,《新巴塞尔协议》为银行提供了两种方法供他们选择。
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