Asset management ratios measure how effectively an organization manages its assets. 资产管理比率是衡量组织管理其资产有效性的比率。
Management closely monitors these ratios in evaluating the company's policies for extending credit to customers and the effectiveness of its collection procedures. 管理阶层密切关注这些比率,以评价公司提供给客户赊销信用的政策,以及回收程序的有效性。
Research on Marketing Personnel s Performance Appraisal Management Model The Validity Analysis of the "Two Prices Five Ratios" of MPAS 营销人员绩效评价与管理模式研究&二价五率绩效评价系统的有效性分析
Study on the warehouse receipts pledge Management model in Small/ medium-sized Logistics Enterprises Research on Loan-to-Value Ratios in the Mode of Dynamic Logistics Supervision and Control 中小物流企业仓单质押管理模式探讨动态物流监管模式下贷款质押率研究
Secondly, this paper took up remarked the development process of liquidity risk management of China commercial bank and at present management of assets and liabilities ratios. The data shows that there was still liquidity risk existing of China commercial bank. 其次对中国商业银行流动性风险管理的发展历程以及目前实行的资产负债比例管理进行了论述,通过数据分析说明中国的商业银行仍然存在着流动性风险。
It finds that there is no significant relationship between the fraction of the fund held by the institutional investors in the top ten fund-holders ( or held by the fund management company and its shareholders) and the performance or expense ratios of the funds. 而基金前十大持有人中机构投资者持有基金的比例、基金管理公司及其股东持有基金的比例对基金业绩及净资产费用率均无显著的影响。
Authors combine financial theory with cybernetics and system theory to prove and elucidate a new bank management method: the cybernetic system of commercial bank asset liability ratios management. 作者将金融理论、控制论、系统论有机地结合起来,提出并论证了一种新的银行管理方法:商业银行资产负债比例管理控制论系统。
Management retrieval code system for sub Library of discrete level schemes and gamma radiation branching ratios 原子核分立能级及其γ衰变分支比子库的管理-检索程序系统
The Assets-Liabilities Ratios Management ( ALRM) is the comprehensive management means to assets and liabilities, which the commercial banks stipulate the quantity and quality to the assets and liabilities on ratios by applying science management system and management method. 资产负债比例管理是商业银行运用科学的管理体系和管理手段,以比例的形式对银行资产和负债经营做出量和质的规定,从而对资产和负债进行综合管理的一种方法。
If the earnings management is also added to the model construction which will improve the forecast accuracy of the model? This paper aims to explore the earnings management index, financial ratios and other related variables for enterprise financial crisis prediction ability. 如果把盈余管理也加入到模型的构建当中是否会提高模型的预测准确率呢?本文旨在探讨盈余管理指标、财务比率以及其他相关变量对于企业财务危机的预测能力。
Hope that the authorities from the earnings management, financial ratios and corporate governance and other aspects of comprehensive analysis and judgment on whether the listed companies occur financial crisis, not only by their individual financial ratios will determine whether the "hat". 希望监管部门能从盈余管理、财务比率和公司治理等方面综合分析判断上市公司是否发生财务危机,而不是仅凭个别财务比率就判定其是否该被戴帽。