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   上市公司信用 的翻译结果: 查询用时:0.157秒
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上市公司信用
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  “上市公司信用”译为未确定词的双语例句
     Listed Companies'Credit Risk Evaluation Based on Logistic Model
     基于logistic模型的上市公司信用风险评价
短句来源
     An Empirical Study on Credit Risk Management of China's Listed Companies —— EDF Model's Application in Credit Evaluation
     中国上市公司信用风险管理实证研究——EDF模型在信用评估中的应用
短句来源
     An Empirical Study on Credit Rating of Listed Companies in China Based on Z Value Model
     基于Z值模型的我国上市公司信用评级研究
短句来源
     Application of Fisher Discriminant Analysis Model into Credit Risk of Listed Companies
     Fisher判别分析模型在上市公司信用风险度量中的应用
短句来源
     Empirical Research of Credit Risk for the Public Company Using EDF Model
     基于EDF模型的上市公司信用风险实证研究
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  相似匹配句对
     Analysis of Credit Framework in Listed Companies
     上市公司信用结构分析
短句来源
     Going Public Trust" is Specific to Public Corporation
     “上市信用”是上市公司的特有信用
短句来源
     Research on Credit of China's Listed Companies
     我国上市公司信用问题研究
短句来源
     An Analysis of Listed Companies' Losing Credit Based on the Theory of Gambling and Chess
     上市公司信用缺失的博弈分析
短句来源
     New Method to Analyze Credit Status of the Listed Companies
     上市公司信用状况分析新方法
短句来源
查询“上市公司信用”译词为用户自定义的双语例句

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The evaluation of the enterprises' credit risk is a hot issue debated by financial economists and investors for long time.Whether the credit risk of list company can be discriminated,means whether exact credit problem of the enterprise can be evaluated according to public information.This paper studied the credit problem of Chinese A share part list companies during 1999-2000/09 by means of canonical discriminate analysis.Displaying of the positive analysis and test,the estimating model can strongly demonstrate...

The evaluation of the enterprises' credit risk is a hot issue debated by financial economists and investors for long time.Whether the credit risk of list company can be discriminated,means whether exact credit problem of the enterprise can be evaluated according to public information.This paper studied the credit problem of Chinese A share part list companies during 1999-2000/09 by means of canonical discriminate analysis.Displaying of the positive analysis and test,the estimating model can strongly demonstrate the credit problem of our stock market.

企业信用风险的评估一直是金融经济学理论与实务界关注和探讨的问题。能否判别上市公司信用风险程度 ,意味着能否依据公开披露的信息准确地评价一个企业的信用情况 ,本文采用典型判别分析法对我国A股市场 1999年至 2 0 0 0年 9月间部分上市公司的信用状况进行了实证分析和检验。分析结果显示 ,所得到的典型判别模型对我国证券市场的信用情况有较强的解释能力。

The credit rating system is not perfect in China. The credit rate coming from the current credit rating method is inaccurate and the rate is not real time. Firstly, this paper reviews the credit measurement method of KMV, and poposes that “Distance to Default” is a good method to analyze credit status of Chinese listed companies. Then, the paper selects 15 listed companies, analyzes their “Distance to Default” using their stock prices and their financial statement data, and compares their credit status. At...

The credit rating system is not perfect in China. The credit rate coming from the current credit rating method is inaccurate and the rate is not real time. Firstly, this paper reviews the credit measurement method of KMV, and poposes that “Distance to Default” is a good method to analyze credit status of Chinese listed companies. Then, the paper selects 15 listed companies, analyzes their “Distance to Default” using their stock prices and their financial statement data, and compares their credit status. At last, the paper points out the future research.

借鉴 KMV公司信用计量方法 ,提出可以用该方法中的“违约距离”对我国上市公司的信用状况进行分析。选取了 1 5家上市公司 ,使用其股票价格历史数据和财务报表数据计算各家公司的“违约距离”,从而对它们的信用状况进行比较。最后指出“违约距离”在公司信用状况分析应用中需进一步开展的工作

In order to analyses and research the financial situation of listed companies, this paper tries to make full use of the model of binary dependent variable and also uses the forecasting probability to evaluate the fiancial foundation of listed companies. This forecasting model also can help us to analyses the company's credit rating. The administrative personal of the bank should know how to eveluate the company's financial foundation. The securities holders want to know if it can increase profits for their investment...

In order to analyses and research the financial situation of listed companies, this paper tries to make full use of the model of binary dependent variable and also uses the forecasting probability to evaluate the fiancial foundation of listed companies. This forecasting model also can help us to analyses the company's credit rating. The administrative personal of the bank should know how to eveluate the company's financial foundation. The securities holders want to know if it can increase profits for their investment in securities. Enterprises want to know how to evaluate their companies and sub companies or their rivals. They can all reach it by this model.

文章采用了二元因变量模型对上市公司的财务状况进行分析和研究 ,并可以利用模型得出的预测概率来评价上市公司的财务状况 ,进而为我们分析上市公司的信用状况提供依据。这对银行的信贷管理人员如何分析企业好坏 ,证券投资者如何衡量证券投资的价值 ,企业家如何评价自己的公司和子公司以及竞争对手都具有一定的参考价值。

 
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