Non-system risks include management risks, technology risks, production risks, market risks and finance risks.
非系统风险主要包括管理风险、技术风险、生产风险、市场风险和财务风险。
Eight types of risks are: the decision making risks, human resources risks, finance risks, management risks, the system risks, techniques risks, market risks and provider risks.
八类风险分别是:决策风险、人力风险、财务风险、管理风险、系统风险、技术风险、市场风险以及外包商风险;
More troubling to proponents of modern finance was the crippling impact on market liquidity of uncertainty about the scale of risks and who held them.
对于现代金融的支持者而言,更大的麻烦是关于风险水平及其归宿的不确定性对市场流动性的致命影响。
One is analytical: the world needs new ways of thinking about finance and the risks it entails.
其一是分析性的:人们需要新方法去理解金融及其中的风险。
And as so often in finance, constraining liquidity in one part of the system risks shifting trouble somewhere else.
限制该系统中某部分的流动性有可能把麻烦转移至其他部分,这种情形常常发生在金融机构。
As a second clear conclusion, prepayment schemes, with pooling of funds and the sharing of risks, are put forward as the most equitable way to finance health care.
第二项明确结论是,用于汇集资金和分担风险的预付计划是最公平的卫生保健筹资方式。
The challenge now is to design a regulator for the finance industry that actually measures and focuses on systemic risks, rather than on the individual parts of the system.
现在的挑战是要设计一个具有监管力度的金融系统,所有措施和重点都要放在这个系统上,而不是系统中个个别部分。
Access by residents to foreign finance and by domestic institutions to foreign risks makes such cartels inherently unstable.
本国居民获取外国资金以及本国机构开展外国业务,会让此类卡特尔存在内在的不稳定性。
Finance team will work with other teams to control strictly key process and points and stress analysis and management of risks, in order to ensure normal operation of the company.
财务团队会和其他团队一起严格把握控制要点,注重风险的分析和管理,从而确保公司的正常运营。
During my project I learnt about various risks associated with Infrastructure Projects and how they were mitigated using different risk models and structured finance products.
我学习了各种基础设施项目的风险、风险模型降低风险、产生金融产品的原理。
Part four works on the methods for preventing the risks of e-finance from both the inner control and the outer supervision.
第四部分从内部控制和外部监管出发,对电子金融的风险控制进行了对策性的分析。
The risks transformation from banking system to finance is a special mode to deal with banking risks during the period of system transition.
金融风险“财政化”是我国在体制转轨时期处理金融风险的一种特殊模式。
The second part applies different long-term investment theories to make evaluations on finance and the risk management towards the risks existing in the project.
第二部分是应用不同的长期投资决策理论对项目进行财务评价,以及对项目存在风险的风险管理。
Individual insurance demands can be explained by peoples aversion to risks, but the corporate insurance demands have always been a difficult topic in economics and corporate finance theories.
个人的保险需求可以用风险厌恶来解释,而公司的保险需求则一直是经济学和公司金融理论的一大难题。
The internationalization and freedom of finance make world's financial capital face great risks.
金融国际化和自由化使得世界性的金融资产面临巨大的风险。
In transforming risks, stock option, a new finance derivative tool, has the similar function with the traditional insurance.
在转移风险方面,股票期权这一新型金融衍生工具与传统的保险有相同的功能。
Under the circumstance of finance internationalization, questions on system risks in international finance market stick out increasingly.
在金融国际化的条件下,国际金融市场的系统风险问题日益突出。
Particularly, in the financial crisis, the strict finance supervision and the rapid change of legal environment make the banking group face more severe legal risks.
在金融危机后,金融监管的严格化和法律环境的快速变化,使得银行集团面对的法律风险更为严峻。
After analyzing the importance of the safety administration of computers and scientific and technological risks in finance, this article has put forward some corresponding precautionary measures.
文章从金融计算机安全管理的重要性入手,进行了金融科技风险分析,提出了相应的防范措施。
Then, using hierarchical analyses approach in determining the weights of the various risks, the theoretical model of macroscopic finance risk measurement system was constructed.
然后根据层次分析法确定风险权重,进而构造了我国宏观金融风险测度的理论模型。
There are direct and indirect paths for state-owned enterprises reform to transmit risks to the state finance with the scope provided by the balance sheet of public department.
在公共部门资产负债表提供的框架内,国企改革对财政风险存在直接和间接两种传导路径。
Dealing account and drawing bad debt provision are all basic essential factors for bank to control risks. The Ministry of Finance has promulgated several Provisions on Loan Loss Reserves.
对贷款的会计处理和计提呆账准备金的实践是银行业管理和控制风险的基本要素,财政部已多次颁布了有关的管理办法。
At the same time the financial security receives the threat conducted by international financial risks under the internationalized background of the finance too.
同时金融安全也受到金融国际化背景下国际金融风险传导的威胁。
This article has made deep researches of the factors of inter-bank's risks and listed all of the risks that finance bureaus and commercial Banks and issuing propagandas of electronic money facing.
本文对网络银行风险成因进行了深入的剖析,列出了金融当局与商业银行及电子货币发行机构面临的不同风险。
Private mortgage loan has become the core of housing finance. In this country, it is urgent to introduce new ideas and new models to avoid potential risks.
个人住房抵押贷款已经成为住房金融的核心,针对我国存在的不足,提出一些新的想法,设计一些新的还贷方式以规避风险是刻不容缓的现实。
This thesis aims at how enterprises use the finance derivative products to successfully manage the exchange risks.
本文旨在研究我国企业如何使用金融衍生产品管理外汇风险。
The Agricultural Bank of China (ABC) plays the part of the main body of Chinese rural finance system and its risks are more prominent.
中国农业银行作为我国农村金融体系的主体,其风险表现更为突出。
The Agricultural Bank of China (ABC) plays the part of the main body of Chinese rural finance system and its risks are more prominent.
中国农业银行作为我国农村金融体系的主体,其风险表现更为突出。
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