确实,金融业发送着混杂的信息:它首先要求好的财务结果,并且在金融界的某些地方——特别是与私有资产相关的——人们仍对CSR极度怀疑。
True, the finance industry sends mixed signals: it demands good financial results above all else, and in parts of the financial world-notably the private-equity part-scepticism on CSR still runs deep.
目前,理论界对财务困境问题的研究主要集中在财务困境形成原因、财务困境预警面。
At present, the theorists are concentrating on the reasons and pre-warning of financial predicament mainly.
在竞争程度不同的产品市场中,如何进行财务杠杆决策,成为理论和实务界的关注焦点。
It becomes a focus how to make a decision of leverage in product market of different competition.
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