论文部分内容阅读
通过对各种融资手段进行比较,企业积极寻求资金成本最低、管理收益最大的现金管理组合工具2008年年底,为应对世界金融危机,中国开始实施积极的财政政策和适度宽松的货币政策,这一政策基调也一直延续至2010年,随着2010年中国经济形势
Through the comparison of various financing instruments, the company actively seeks cash management portfolio tools with the lowest capital cost and the largest management income. In response to the global financial crisis at the end of 2008, China began to implement a proactive fiscal policy and a moderately loose monetary policy. The tone of the policy has also been extended to 2010, with the economic situation in China in 2010