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  • 匿名
关注:1 2013-05-23 12:21

求翻译:为了公司的现金保证能力,要挑选到期日比较合适的投资,或者选择次要的具有高流动性的投资市场进行投资。是什么意思?

待解决 悬赏分:1 - 离问题结束还有
为了公司的现金保证能力,要挑选到期日比较合适的投资,或者选择次要的具有高流动性的投资市场进行投资。
问题补充:

  • 匿名
2013-05-23 12:21:38
Cash guarantee for the company's ability to pick a more appropriate investment maturity date, or select the secondary investment market with high liquidity investments.
  • 匿名
2013-05-23 12:23:18
In order for the company's capacity to ensure cash due date, you want to choose a suitable investment, or select a liquid secondary market for investment.
  • 匿名
2013-05-23 12:24:58
For company's cash guarantee ability, must choose the due date quite appropriate investment, or the choice secondary has the high fluid investment market to carry on the investment.
  • 匿名
2013-05-23 12:26:38
  • 匿名
2013-05-23 12:28:18
 
 
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