查询词典 cash-desk
- 与 cash-desk 相关的网络例句 [注:此内容来源于网络,仅供参考]
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The cash ratio expresses the relationship of cash and cash equivalents to the current liabilities .
现金比率表达了现金和现金等价物与流动负债之间的关系。
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Article 13Where a debt restructuring is made by a combination of the liquidation of a debt by assets, the liquidation of a debt by non-cash asset, the conversion of a debt into capital and the modification of other terms of a debt, the creditor shall offset, one by one, the cash received, the fair value of the non-cash asset received, and the fair value of the shares to which the creditor becomes entitled, against the book balance of the debt to be restructured, then handle it in accordance with Article 12 of these Standards.
第十三条债务重组采用以现金清偿债务、非现金资产清偿债务、债务转为资本、修改其他债务条件等方式的组合进行的,债权人应当依次以收到的现金、接受的非现金资产公允价值、债权人享有股份的公允价值冲减重组债权的账面余额,再按照本准则第十二条的规定处理。
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Article 8Where a debt restructuring is made by a combination of the liquidation of a debt by assets, the liquidation of a debt by non-cash asset, the conversion of a debt into capital, and the modification of other terms of a debt, the debtor shall offset, one by one, the cash paid, the fair value of the non-cash asset transferred, and the fair value of the shares to which the creditor becomes entitled, against the book value of the debt to be restructured, then handle it in accordance with Article 7 of these Standards.
第八条债务重组以现金清偿债务、非现金资产清偿债务、债务转为资本、修改其他债务条件等方式的组合进行的,债务人应当依次以支付的现金、转让的非现金资产公允价值、债权人享有股份的公允价值冲减重组债务的账面价值,再按照本准则第七条的规定处理。
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Based on the theory of agency, the theory of property rights and the theory of the ownership structure of the firm, Michael C. Jensen developed a hypothesis of free cash flow. He points out "Conflicts of interest between shareholders and managers over payout policies are especially severe when the organization generates substantial free cash flow. The problem is how to motivate managers to disgorge the cash rather than investing it at below the cost of capital or wasting it on organization inefficiencies."
在借鉴资本结构论、公司控制权市场论、契约论等研究成果的基础上,詹森提出了自由现金流量理论,该理论主要讨论了股东与管理者之间存在的代理成本问题,认为股东应该"促使管理者吐出这些现金,而不是将剩余现金以低于资本成本的收益率进行投资,或者在低效率的组织中耗费"。
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I'm the Fireman Fire, Fa, Fireman I got that fire I'm hollering I got that fire come and try me and You can spark it up and I'ma put you out You can spark it up and I'ma put you out [Verse 1] Ain't nobody fuckin with me man, Heatman Ski Mask spending next weeks cash, he fast And I don't even need a G pass I'm pass that I'm passing em out now and you can't have that And my chain Toucan Sam That tropical colors you can't match that Gotta be abstract You catch my gal legs open betta smash that Don't be surprise if she ask where the cash at I see she wearing them jeans that show her butt crack My girls can't wear that why, that's where my stash at I put my mack down that's where you lack at She need her candlelit and I'ma wax that I rekindle the flame She remember the name It's Weezy Baby January December the same Mama gimme that brain Mama gimme that good Cause I'm the fireman You hear the firetruck I'm the Fireman Fire, Fa, Fireman I got that fire I'm hollering I got that fire come and try me and You can spark it up and I'ma put you out You can spark it up and I'ma put you out Fresh on campus it's the Birdman Jr Money too long teachers put away ya rulers Raw tune not a cartoon No shirt, tattoos, and some war wounds I'm hot but the car cool She wet that's a carpool Been in that water since a youngin you just shark food Quick Draw McGraw I went to art school Yeah the lights is bright but I got a short fuse Don't snooze Been handling the game so long my thumb bruise Ya new girlfriend is old news Yeen got enough green and she so blue yeah Cash Money Records where dreams come true Everything is easy baby leave it up to Weezy Baby Put it in the pot let it steam let it brew Now watch it melt don't burn ya self I'm the Fireman Fire, Fa, Fireman I got that fire I'm hollering I got that fire come and try me and You can spark it up and I'ma put you out You can spark it up and I'ma put you out Ridin' by myself well really not really So heavy in the trunk make the car pop-a-wheelie Who?
我是消防员消防,花园,消防员我接到火警我喊叫我接到火警来试试我,它可以激发起来,我是把你出去它可以激发起来,我是把你出去 [诗歌1] 不与我没有fuckin人,Heatman 滑雪面具的现金支出今后几周,他快我甚至不需要一个G通过我传递我现在传递时间内,你不能有链巨嘴鸟和我的山姆这种热带色彩不能匹配肯定在抽象你明白我的加仑双腿粉碎的开放斗鱼不要惊讶,如果她问其中现金我看到他们,她穿着牛仔裤,显示她的屁股裂缝我的女孩不能穿这个原因,这就是我的藏匿在我把我的下这就是你缺乏麦克她需要她的烛光和我是一个蜡余点燃圣火她记得这个名字这是12月1月Weezy婴儿一样妈妈gimme,大脑妈妈gimme,良好原因我是消防员你听到救火车我是消防员消防,花园,消防员我接到火警我喊叫我接到火警来试试我,它可以激发起来,我是把你出去它可以激发起来,我是把你出去新鲜校园它是鸟人Jr 钱太长教师收起亚统治者原料调整不是一个卡通没有衬衫,纹身,和一些战争创伤我觉得又热,但赛车冷却她湿这是一个用车在这水自1 youngin你只鲨鱼的食物快速绘制麦格劳我去艺术学校是的,灯光明亮而我得到脾气暴躁不要打盹被处理的游戏,只要我的拇指挫伤亚新女友是旧闻陈吕令意有足够的绿色和蓝色是啊,她这样现金货币记录下梦想成真一切都留给孩子容易到Weezy婴儿放入锅蒸让它让它酿造现在看它融化不烧亚自我我是消防员消防,花园,消防员我接到火警我喊叫我接到火警来试试我,它可以激发起来,我是把你出去它可以激发起来,我是把你出去我自己也实在没有真正因此,在主干沉重让赛车弹出一,离地平衡特技谁?
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In the evaluation of cash flux stability, I take the free cash flux as variable and get the difference coefficient of FCF in N years, then to judge the cash flux stabilization degree of the targetenterprises.
在现金流量稳定性评价中,本文以自由现金流量为变量,求出N年现金流量的差异系数,来判断目标企业现金流稳定程度。
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The group shows Alibaba, company of this investment management will be dedicated invest at 2 class market, its held water to enhance Alibaba not only the group is in the actual strength that money endowment manages, and strengthened a group to be opposite of macroscopical environment understand thoroughly force, the fluidity management that strengthens group cash reserve in a bank, short-term investment management and capital risk manage, round to the Babaji in A cash is flowed into, pour out of and put a quantity to undertake making overall plans, on the foundation that assures fluidity, those who achieve cash beneficial result is the biggest change.
阿里巴巴集团表示,该投资管理公司将专注于二级市场投资,其成立不仅增强了阿里巴巴集团在财资管理的实力,而且加强了集团对宏观环境的洞悉力,加强集团现金的流动性管理、短期投资管理和资金风险管理,并对阿里巴巴集团的现金流入、流出以及存量进行统筹规划,在保证流动性的基础上,实现现金效益的最大化。
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Group respect expresses Alibaba, company of this investment management will be dedicated invest at 2 class market, its held water to enhance Alibaba not only group assets manages actual strength, and strengthened a group to be opposite of macroscopical environment understand thoroughly force, strengthen management of liquidity of group cash reserve in a bank, short-term investment management and capital risk management, round to the Babaji in A cash is flowed into, pour out of and put a quantity to undertake making overall plans, in assure fluidity foundation to go up, implementation cash benefit is the greatest change.
阿里巴巴集团方面表示,该投资管理公司将专注于二级市场投资,其成立不仅增强了阿里巴巴集团资产管理实力,而且加强了集团对宏观环境的洞悉力,加强集团现金流动性管理、短期投资管理和资金风险管理,并对阿里巴巴集团现金流入、流出以及存量进行统筹规划,在保证流动性基础上,实现现金效益最大化。
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And then the paper analyses the influence of the preference of share financing about the Chinese listed companies. The paper sets up the mode of the debt financing-internal cash flow sensitivity by analyzing Has financing constraints theories. And it selects the listed non-financial companies of Shanghai and Shenzhen stock markets to do the demonstration. Two conclusions can be reached from the empirical study:(1) There is a remarkable negative relativity existing between china's listed companies' debt financing and internal cash flow. As the increase of the internal cash flow, the company's debt will decrease. The sensitivity between the two inclines to strengthen with the lapse of time.
通过对融资约束的理论分析,本文建立了债务融资与内部现金流量敏感性分析模型,并以沪市和深市的非金融类上市公司作为样本进行线性回归分析,得出以下结论:(1)中国上市公司债务融资与内部现金流量之间存在着显著的负相关性,即随着内部现金流量的增加,企业的债务融资额将会减少,且随着时间的推移,二者的敏感性有增强的趋势。
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This paper explores shareholder approach, material approach and investment approach to cash flow, and it is concluded as follows: Net present value calculated is equal for shareholder approach and material approach, but for fixed assets investment projects, shareholder approach is far more concise and workable than material approach and provides direct cash flow information with clear and useful economic significance. Investment approach analyzes forecast cash flow for investment projects from a different angle, not only offering additional managerial accounting information, but also testing the properness of and providing theoretical support for shareholder approach and material approach.
通过对股东现金流量法、实体现金流量法和全投资现金流量法模型的研讨,提出如下观点:股东现金流量法与实体现金流量法计算的净现值是相等的,但对寿命期有限的固定资产投资项目,股东现金流量法远比实体现金流量法简洁易懂,便于操作,其提供的现金流量信息直观,经济意义明晰,有用性强;全投资现金流量法从另一个角度进行投资项目的预期现金流量分析,不但能提供补充的管理用会计信息,而且能对股东现金流量法模型的正确性进行验证,互相提供理论上的支持。
- 相关中文对照歌词
- Cash Flow
- Johnny Cash
- Nickajack Cave (Johnny Cash's Redemption)
- Cish Cash
- Cash Money Niggaz
- Cash Money Is An Army
- Cash Money Roll
- Freestyle (Cash Money Diss)
- Dirty Cash
- Cash Cash
- 推荐网络例句
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Breath, muscle contraction of the buttocks; arch body, as far as possible to hold his head, right leg straight towards the ceiling (peg-leg knee in order to avoid muscle tension).
呼气,收缩臀部肌肉;拱起身体,尽量抬起头来,右腿伸直朝向天花板(膝微屈,以避免肌肉紧张)。
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The cost of moving grain food products was unchanged from May, but year over year are up 8%.
粮食产品的运输费用与5月份相比没有变化,但却比去年同期高8%。
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However, to get a true quote, you will need to provide detailed personal and financial information.
然而,要让一个真正的引用,你需要提供详细的个人和财务信息。