坏账风险 meaning in English
bad debt risk
Examples
- The stock of bank debt and hence the risks of bad loans may therefore still be large
因此银行贷款量及因此引发的坏账风险依然很大。 - On the other hand , as the state - owned commercial banks were long affected by bad debts , they are unusually sensitive to the loan repayment speed while ignoring their profitability
另一方面,由于国有商业银行由于长期以来受呆账坏账风险的影响,对贷款的回款速度异乎寻常的敏感,保证贷款安全成为凌驾于确保贷款收益之上的目标。 - The research approach is according to first putting forward the problem , and then project designing , selecting , implementation and problem settlement . the first part of the paper summarizes the businesses of guohua co . and proposes the problems facing at present
该论文在应收账款管理中着重对这些问题进行了分析,对销售收入从财务管理的角度进行了监督控制,把坏账风险降到了最低。 - The second chapter builds up indicator system of macroscopic finance risk according to standard , objectivity , sensitivity and operability , which includes macroscopic finance environment risk , bank default risk , foam economic risk , national debt risk and foreign capital impacting risk . next , it standardize indicator by adopting mapping , and applies hierarchy analytical process in determining weight . at last , it draws statistic measurement models by weighted average method
其次,根据指标体系构建的规范性、客观性、灵敏性和可操作性等原则,构建了由宏观经济环境风险、银行坏账风险、泡沫经济风险、国债风险和外资冲击型风险构成的宏观金融风险评价指标体系;然后按照映射法对指标进行标准化处理,采用层次分析法确定各大类因素的权重,并用加权平均法得出宏观金融风险的统计度量模型。