The debts of colleges increase, some are even over-burdened, so finance risk of colleges looms.
目前,一些高校的负债已经远远超出其承受范围,极大地提高了高校的资金运作风险;
Finally to propose some countermeasures aimed at the high technology and new technology business finance risk the guard.
最后针对高新技术企业财务风险的防范提出了一些对策。
Therefore, goes on the market the corporate finance risk early warning model research to China to have the vital significance.
因此,对中国上市公司财务风险预警模型的研究具有重要的意义。
The college should know and control relative factors that can take place finance risk, and enhance control awareness of finance risk.
应充分了解并有效控制具体风险发生的相关因素,增加财务风险防范意识。
The biggest danger is that legitimate criticisms of the excesses of finance risk turning into an unwarranted assault on the whole of globalisation.
最大的危险是人们对于过量的金融风险的正当批评化对全球化毫无理由的通盘否定。
How to control and prevent the enterprise finance risk by the methods of describing the financial risk reasons, characteristics and finance is presented.
通过对财务风险的成因、特征和财务分析方法等几方面的阐述,来说明企业如何控制和防范企业财务风险。
Finally, the analytic hierarchy process was applied to set up the group corporations finance risk control appraisal model, and a demonstration is also given.
最后,运用层次分析法,建立集团公司财务风险控制评价模型,并给出了实证分析。
It was early that the finance risk in village and towns had been come into being, but had been transferred to the outer? The later and the underside by many ways.
乡镇财政风险形成比较早,但是乡镇通过各种方式将风险向外、向后、向下转移了。
By introducing experience of foreign developed countries' auto finance risk management, compared to our country's urgent need for financial risk management vehicles.
通过介绍国外先进的汽车金融风险管理的经验对比出我国急需要进行汽车金融的风险管理。
The article points out the "debt changing into stock" risks which having finance risk; Banking risk; social credit risk and putting forward keeping a way countermeasures.
本文指出“债转股”的潜在风险主要有财政风险、银行风险、社会信用风险,并相应提出了防范对策。
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。
Then, an analysis was carried on in terms of the group corporation's meaning and the group corporation finance control, showing the importance of the group finance risk research.
接着,从集团公司的含义和集团公司财务控制两个角度进行分析,指出集团财务风险研究的重要性。
To protecting state possessed assets and reduce losses and remove the finance risk, Chinas AMC has been set up to purchase and deal with bad assets of state possessed commercial bank.
为保全资产、减少资产流失和化解金融风险,我国已经成立了资产管理公司以专门接收和处置国有商业银行巨额的不良资产。
The current problem our country commercial bank faces is credit risk, not only influence commercial bank of steady management, but also stirs up many inside concealed of finance risk.
当前我国商业银行面临的信用风险问题,不仅影响商业银行的稳健经营,而且滋生出金融风险的许多内在隐患。
CVaR is a new tool for credit risk measurement and optimization, which provides the tail information of loss and is favorable to keeping away the extreme finance risk with very little probability.
条件受险价值是一种能够反映损失分布尾部信息,从而有利于防范小概率极端金融风险的风险度量和优化工具。
If the fiasco of structured finance has taught us one thing, it is that risk is not adequately captured by one simple measure.
如果说结构化金融产品的完全失败教会了我们一件事的话,那就是不可能用单一的计量方法来测度风险。
Today the frontiers of finance involve anything from weather to mortality risk, from emissions to catastrophe insurance.
而当今金融前沿涉及从气候到死亡风险,从废气排放到巨灾保险的各层面。
Industry-specific solutions for the finance, risk management, and media and entertainment sectors assist with information analysis on a large scale.
针对特定行业的,有关财务、风险管理、以及媒体和企业中数据分析部门的解决方案。
The requirement to value pension liabilities in this way has made corporate balance-sheets more volatile, and encouraged finance directors to try to reduce their risk.
如此一来,对退休金债务的估值随之不断变化,使得公司资产负债表变动频频,这也促使财务董事试图降低风险。
Then came the crisis, which proved that all those claims about how modern finance had reduced risk and made the system more stable were utter nonsense.
接着,危机到来了,危机证明所有所谓现代金融降低了风险,使金融体系更加稳定的说法完全是一派胡言。
The scholar, trader, and author Nassim Nicholas Taleb brings a decidedly contrarian view to the world of finance, statistics, and risk.
学者、交易员、作家纳西姆-尼古拉-塔勒布,对金融、统计和风险等领域,有着与大众相悖的明晰洞察。
Bucking a trend in the finance industry, clearing houses are still hiring staff, such as IT specialists and risk managers.
与近期金融行业的颓势相反,清算中心在招兵买马,目标包括IT专家、风险经理。
That's why I kept going on and on against financial theories, financial-risk managers, and people who do quantitative finance.
因此我不停地跟金融学理论、金融风险管理者和那些做定量金融的人对抗。
That's why I kept going on and on against financial theories, financial-risk managers, and people who do quantitative finance.
因此我不停地跟金融学理论、金融风险管理者和那些做定量金融的人对抗。
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