But the time and resources invested earlier in designing and implementing debt management strategies provided them with room to maneuver.
不过,早前在制定并实施债务管理战略方面投入的时间和资源为他们提供了回旋余地。
In junk bonds, better your odds of success by focusing on the debt of recession-resistant industries such as-no kidding-prison management.
关于后期债券,最好关注一些具有抵御衰退能力的行业,例如-不开玩笑-监狱管理。
Because management is no legal reason for the occurrence of debt, which makes an infringement in itself becomes a behavior allowed by law.
无因管理是法定的发生债的原因,这使本身是一种侵权的行为变成了一种法律允许的行为。
A decision was also taken to develop a debt management system "in-house" rather than adapt an existing off-the-shelf system, recognizing Brazil's complex and singularly unique debt management demands.
在认识到巴西复杂且独特的债务管理需求后,世行还决定动用内部力量开发债务管理系统,而不是借用现成的债务管理系统。
The following article deals with how one must proceed with the unsecured consolidation loans in the debt management process.
下一个文章要如何着手处理抵押贷款债务综合管理过程。
When you sign up with a debt management company, they will take over the servicing of your debts in return for a fee.
当你签署了一项债务管理公司他们将接替你们的服务费,以换取债务。
The management being in debt has been the speciality in modern enterprise.
负债经营已经成为现代企业的一大特色。
High developmental debt ratio and improper financial management mechanisms and other issues are widespread in the construction of the new campus of colleges and universities.
在高校新校区建设中,普遍存在着发展性负债比例过高,财务管理机制不缜密等问题。
Interest rate immunization strategy in the asset-debt management is discussed using the duration convexity method.
运用久期—凸度方法,研究了资产负债管理的利率免疫策略。
Under such circumstances, the assets-and-debt management in many enterprises may be confronted with the risk of exchange rate change, which will affect the current value of the assets and debt.
在当前我国商品供需和资本流动同国际市场的关系日益密切的情况下,很多企业的资产负债管理都可能遇到汇率波动风险,影响资产和负债的现时价值。
In this paper, the modern enterprise operating liabilities of the current situation, the causes of debt management, debt management at the major risks and ways to control strategy.
本文就现代企业负债经营的现状,负债经营的成因,负债经营的主要风险进行分并提出控制策略的方法。
Because the foreign debt management is just beginning in our country, nearly no systematic research is made.
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。
This thesis focus on studying in the modern enterprise system, the types of operating risk of enterprise in debt, the internal management and the methods of process control.
主要研究了现代企业制度下,企业举债经营风险的类型及企业负债经营风险的控制方法。
The bad debt reserve system is one core of the management system in finance enterprises.
呆帐准备金制度是银行核心的经营管理制度之一。
At present, in the course of dealing with assets, China's assets Management corporation has applied debt to equity swap as a major pattern.
当前,我国资产管理公司在处置资产的过程中,已经将债转股作为一种主要的资产处置方式。
Based on balance management, this paper proposed an optimal issuance model of national debt in order to minimize the expected interest cost of portfolio of national debt.
基于国债余额管理提出了一个国债最优发行模型,以最小化所发行国债组合的期望利率成本。
There is no effective constraint to the credit in the Chinese traditional credit management systems, which result in the enormous bad debt and low quality assets of the state-owned commercial bank.
我国国有商业银行传统的信贷管理制度未能对信贷人员的代理行为形成有效的约束,从而导致了大量银行坏帐的产生。
This may be because some companies, such as the reasons for poor management in financial difficulties, due to repay the debt, thus debt disputes.
这就使一些企业可能因为经营不善等原因陷入财务困难,难以偿还到期的债务,从而形成债务纠纷。
China will carry balance management of national debt into execution in 2006, which certainly will influence the optimal issuance strategy of national debt.
从2006年开始,我国将实行国债余额管理,这将对国债发行产生重大影响。
Reason who financial affairs fail the in many aspects, is mainly management and administration's incapability, unreasonable and excessively in debt structure stock right listed company.
上市公司财务失败的原因是多方面的,主要是经营管理无能、股权结构不合理以及过度负债。
Due to poor management, the factory is deeply in debt.
由于经营不善,该工厂负债累累。
Due to poor management, the factory was heavily in debt, and technical personnel have to quit.
由于不善经营,工厂负债累累,技术人员也辞职而去。
In our country, the technology of credit risk measuring still keeps qualitative analysis stage, that is, the debt-to-asset management and financial ratio analysis.
我国信用风险度量技术还基本停留在资产负债管理及财务比率分析的定性管理阶段。
But, in 1998, when Long Term Capital Management ("LTCM") blew up, it nearly brought down the financial system. The problem was excessive leverage as reflected in the financial sector debt.
但是,1998年LTCM危机几乎拖垮整个金融体系,问题在于金融借贷反映出过度的金融杠杆率。
"Asia has the cash and the west the debt," says Hugh Young, managing director of Aberdeen Asset Management Asia in Singapore.
英国安本资产管理亚洲公司(Aberdeen AssetManagementAsia)驻新加坡的董事总经理休?扬(Hugh Young)表示:“亚洲拥有现金,而西方国家则背负债务。”
"Asia has the cash and the west the debt," says Hugh Young, managing director of Aberdeen Asset Management Asia in Singapore.
英国安本资产管理亚洲公司(Aberdeen AssetManagementAsia)驻新加坡的董事总经理休?扬(Hugh Young)表示:“亚洲拥有现金,而西方国家则背负债务。”
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