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Home > english-chinese > "debt management" in Chinese

Chinese translation for "debt management"

债务管理

Related Translations:
clear debts:  清理债务
good debt:  能收回的债款有把握收回的债款有把握收回债款
private debt:  私人债务
public debt:  公债。
lactic debt:  乳酸性氧债
active debt:  活动债务
debt maturities:  债务期限
debt repayment:  偿债;偿还借款;偿还债务债务偿还
collect debts:  收帐, 要帐
debt service:  偿债债务还本付息, 应付本息总额债务清偿债息
Example Sentences:
1.Convergence of government debt management in euro area
欧元区政府债务管理的趋同性研究
2.Exploration of the principle for applying duration and immunization in the asset - debt management
负债管理中的应用原理初探
3.Leader provides debt management , property trust , property appraisal , and other financial advisory services
目前服务的客户为国内、外知名企业,涵盖银行、保险、汽车及资产管理等主要金融产业。
4.Accordingly we should take action in nine aspects such as improving taxation system , reinforcing the ability in public debt management and solve the problem in the long run
为此,必须从完善税制,提高国债管理水平等九个方面入手,予以标本兼治。
5.The paper makes a systemic study on government debt issuance management that could be regarded as the essential part of government debt management to some extent , and draws attention on four main questions
本文则对国债管理的基础性部分? ?国债发行管理做了比较系统的考察,主要涉及以下几个问题:首先是国债规模问题。
6.However , until now there are still many unavoidable problems existing in utilizing foreign government loans , in which the debt problem is especially outstanding . in fact , debt management has become a core task in managing foreign government loans
但是到目前为止还存在着很多不容忽视和回避的问题,特别是利用外国政府贷款的债务问题日益突出,有关债务的管理实际已成为管理外国政府贷款的核心任务。
7.Such method analyzes the expenditure and income singly and has no consideration of the organ , business , financial risk , internal control , management level etc . the main contents are that : ( 1 ) under the guide of theoretical framework concerning the basic theory , the asset - debt management mode , the basic object etc , we study the evolution course of operation management of commercial banks
目前,我国的商业银行经营管理状况分析评价主要采用传统的财务分析方法。这种分析方法只是分别对各种费用和各种收入进行单体分析,而没有将有关的经营机构、经营业务、金融风险、内部控制、管理水平等有机结合起来进行系统分析,因此难以较为准确、全面、科学地分析出形成商业银行经营管理状况差异的原因所在。
8.Introducing risk - profit theory , portfolio theory and modern investment management theory , includes property - debt management theory , portfolio management theory and invest risk management theory . and analyzing the insurance portfolio . the second section studies on the insurance portfolio abroad and their features , summarizes their successful experience
介绍了风险-收益理论、资产组合理论以及现代投资理论中的资产负债管理理论、投资组合管理理论和投资风险管理理论在保险投资中的运用,分析了保险投资的组合情况。
9.That is to say , private enterprise should establish scientific and effective institutions , and bring down risk and crease credit . financial institution should strengthen asset and debt management , set up science risk assessment system , strengthen financial innovation and disperse loan risk . government should supply enterprise with satisfactory service , such as construction of law and code , advancement of transparency in financial transaction , reduction of information asymmetry , normalization of financial transaction and improvement of exchangeable efficiency
所以,任何旨在缓解民营企业的超硬性融资约束以至优化其融资结构的单纯做法都显得毫无效果,根本出路在于企业、金融机构和政府三位一体,形成互动,共同克服这一现象背后的深层次复杂因素,即,民营企业要建立科学有效的企业制度,降低生存风险和信息不对称,提高信誉;金融机构要强化自身的资产与负债业务管理,建立科学的风险评估体系和机制,加强金融创新,分散和降低贷款风险;政府则重在服务,即加强各项法律法规建设,提高金融市场交易透明度,降低交易双方的信息不对称程度,规范金融市场交易行为,提高金融交易效率。
Similar Words:
"debt leverage" Chinese translation, "debt limit" Chinese translation, "debt limitation" Chinese translation, "debt liquidation" Chinese translation, "debt litigation" Chinese translation, "debt management policy" Chinese translation, "debt management ratios" Chinese translation, "debt market" Chinese translation, "debt maturities" Chinese translation, "debt maturity" Chinese translation