由于我国企业外债风险管理研究还处在初始阶段,几乎没有系统的研究理论。
Because the foreign debt management is just beginning in our country, nearly no systematic research is made.
因而对外债管理的成功与否,直接涉及到一国财政风险防范的成功与否。
Whether the administration of foreign debts is successful or not immediately effects the fiscal risk controlling.
加强外债管理,调整内债期限结构、持有者结构,完善偿债基金制度,尝试增发地方国债等措施,是化解中央财政债务风险的现实选择。
We can reduce the debt risk through these measures such as reinforcing foreign loans manage, adjusting internal debt's term-structure and holder-struc...
加强外债管理,调整内债期限结构、持有者结构,完善偿债基金制度,尝试增发地方国债等措施,是化解中央财政债务风险的现实选择。
We can reduce the debt risk through these measures such as reinforcing foreign loans manage, adjusting internal debt's term-structure and...
加强外债管理,调整内债期限结构、持有者结构,完善偿债基金制度,尝试增发地方国债等措施,是化解中央财政债务风险的现实选择。
We can reduce the debt risk through these measures such as reinforcing foreign loans manage, adjusting internal debt's term-structure and...
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