财政风险标准是财政研究的基本范畴。
The financial risk standard is a basic category of financial research.
研究适于评估财政风险程度的指标体系,并对经济指标做一致化和标准化处理,构建反应整个财政风险运转态势的综合评价模型。
The economic index system is standardized for the financial risk degree. A comprehensive evaluation model is set up, which can reflect the situation of whole financial risk.
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