1.
When a corporation has more business diversification, its business performance risk declines and business operation risk rises.
随着企业多角化程度的提高,企业经营业绩风险下降而经营能力风险上升。
2.
Returns Versus Risks an Empirical Study of Automobile Related Industties Public Companies;
汽车产业上市公司经营绩效与风险实证研究
3.
Analysis of the Performance and Risk of Publicly Traded Real Estate Companies of China;
中国房地产上市公司的经营业绩与风险分析
4.
The impact of venture capital on IPO timing and operation performance:Evidence from the HK GEM;
风险投资、IPO时机与经营绩效——来自香港创业板的经验证据
5.
One method for risk and effect evaluation of the running on liabilities;
负债经营风险与绩效的一种评价方法
6.
RAPMThe Core Technique of the Commercial Bank s Management--risk Adjusted Performance Measurement RAPM;
商业银行经营管理的核心技术——风险调整绩效度量
7.
Value Assessment and Risk Appraisal of Risk Enterprise in Risk Investment;
风险投资中创业企业价值评估及经营风险评价
8.
A Research on Integrative Management and Its Risk of China s Commercial Bank;
我国商业银行混业经营及其风险研究
9.
An Analysis of the Causes and Countermeasures of The Operation and Management Risks of Agricultural Enterprises in Guandong Province;
广东农业企业经营风险的成因与对策
10.
Analysis of Chinese financial industry s trending to wards mixed management and its risks;
中国金融业混业经营趋势及风险分析
11.
Analysis on the Operational Risks of Farm families in Agricultural Industrialization
农业产业化中农户经营风险因素分析
12.
To Analyse on Relations between Background of Investing Adventureres with Pioneer Co. Performance--Empirical Study Based on Hu-Shen "A" Shares Market
风险投资家背景与创业企业经营绩效关系分析——基于沪深A股的实证研究
13.
Insurance is a special finance trade of managing risk.
保险业是经营风险的特殊金融服务行业。
14.
The Relationship of Board of Directors' Equity Structures and Shareholders' Pledge Factors with the Business Risk and Performance: The Evidence from Taiwan Stock;
台湾上市公司董事会股权结构及持股质押因素与企业风险、经营绩效关联性之研究
15.
State Ownership, Operational Risk, Soft Budget Constraint, and Firm Performance: Empirical Evidence from China s Listed Companies;
国有股权、经营风险、预算软约束与公司业绩:中国上市公司的实证发现
16.
Analysis on the Risks of Financial Mixed Profession Management System by Portfolio Management Theory
从资产组合角度分析混业经营的风险
17.
Study on Fluctuatation of Stock Price and Precaution Against the Risk of Securities;
股价波动与证券业经营风险防范研究
18.
Strengthen Receivable Accounts Management,Reduce Enterprise Business Risks;
加强应收账款管理 降低企业经营风险