当前位置:首页 » 翻译 
  • 匿名
关注:1 2013-05-23 12:21

求翻译:2010年,企业的流动比率与2009年比增长至2.13,相比基准值2来说,企业在2010年短期债务能力不断的增强;2011年降至1.59,说明企业流动性下降,虽然现金、应收账款能力减弱,但是存货和待摊费用得到了很好的控制。是什么意思?

待解决 悬赏分:1 - 离问题结束还有
2010年,企业的流动比率与2009年比增长至2.13,相比基准值2来说,企业在2010年短期债务能力不断的增强;2011年降至1.59,说明企业流动性下降,虽然现金、应收账款能力减弱,但是存货和待摊费用得到了很好的控制。
问题补充:

  • 匿名
2013-05-23 12:21:38
2009 than 2010, the current ratio increased to 2.13 compared to baseline values ​​for short-term debt in 2010 enhanced; in 2011 to 1.59, indicating that the decline of enterprise mobility, although the cash should be The diminished capacity of accounts receivable, inventories and prepaid expenses ha
  • 匿名
2013-05-23 12:23:18
In 2010, the flow rate than growth in 2009 with 2.13 to 2 baseline value, as compared to that in 2010, the business short-term debt; ability to enhance the 2011 dropped to 1.59 in enterprise mobility, although cash, accounts receivable, diminished capacity, but the inventory costs and to be assessed
  • 匿名
2013-05-23 12:24:58
正在翻译,请等待...
  • 匿名
2013-05-23 12:26:38
In 2010, the enterprise flow rates compared with the 2009 grew to 2.13, compared to the baseline value 2lai said, enterprise's short-term debt in 2010 ability to continuously enhance; 2011 per cent, explains enterprise mobility decline, although capacity cash, accounts receivable, inventories and pr
  • 匿名
2013-05-23 12:28:18
正在翻译,请等待...
 
 
网站首页

湖北省互联网违法和不良信息举报平台 | 网上有害信息举报专区 | 电信诈骗举报专区 | 涉历史虚无主义有害信息举报专区 | 涉企侵权举报专区

 
关 闭