筹资风险管理

筹资风险管理筹资风险管理
  1. 筹资风险管理的主要目的是降低资金成本并尽量利用金融市场环境防范融资风险。

    Raising risk management aims at decreasing capital cost and guarding against raising risk .

  2. 文章认为,高速公路贷款项目的负债风险管理是一个包括筹资风险管理、投资风险管理和经营期债务风险管理三个阶段的完整过程。

    It is believed in this thesis that the liabilities risk management of expressway project is an integration of raising risk management , investing risk management and paying risk management .

  3. 第三方面提出了高速公路项目债务风险管理的三个原则,研究并论述了高速公路贷款项目筹资风险管理和经营期间债务管理的理论和方法。

    The third aspect puts forward three principles of expressway project liabilities risk management , studies and treats of the theory and approach of its liabilities management during the raising period and the running period .

  4. 第一部分是股票风险管理概述,介绍股票风险管理的概念、股票筹资风险在企业风险管理中的地位及研究现状。

    The first part is the summery of the risk management of the stock and recommends the concept . It also introduces the risk management of the stock in the risk positions and research current situations in enterprise 's risk management .