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Convertible Bond Financing Framework for Risk and Early Warning System

机译:风险和预警系统可转换债券融资框架

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摘要

By comparing the domestic and international risk management and early warning of information and development status, as well as the analysis of related research on convertible bonds, using qualitative and quantitative analysis methods, it clarifies the two major categories of risk of the convertible bond financing, that is periodic risks and sustainability risks. By seeking the motivations of risk, it has built early-warning system framework for the risks of a convertible bond financing, to guide enterprises to understand, prevent and control risks using the convertible bond financing in the areas of the issuance, conversion, redemption, repurchase, payment of principal and interest and so on, so as to do the bedding for the theoretical support and practical guidance on promoting China's rapid development of the convertible bond market.
机译:通过定性和定量分析方法,通过比较国内外风险管理和信息和发展状况的预警以及对可转债的相关研究进行分析,阐明了可转债融资的两大主要风险类别;那就是周期性风险和可持续性风险。通过寻找风险的动机,它建立了可转换债券融资风险预警系统框架,以指导企业在发行,转换,赎回,回购,本金和利息支付等,为促进我国可转换债券市场的快速发展提供了理论依据和实践指导。

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