1、

This risk may comprise both credit and liquidity risk.

这种风险可能包括信用风险和流动性风险.

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2、

This paper derives the liquidity risk premium for voting and non-voting shares based on Arrow-Pratt's thoughts.

本文采用Pratt-Arrow 对风险溢酬的度量方法,分析了有投票权和无投票权股票的流动性风险溢酬.

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3、

The essay constructs an integral model of liquidity risk including three situations.

据此构造了融合三种情况的流动性风险模型.

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4、

More important still is the issue of liquidity risk.

流动性风险依然是更为重要的问题.

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5、

In addition, sufficient to effectively deal with the liquidity risk of price fluctuation of raw materials.

此外, 充裕的流动资金能有效应对原材料价格波动风险.

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6、

Finally, drawing a conclusion, and bringing forward the relative suggestions about keeping away liquidity risk.

最后得出结论, 并提出防范流动性风险的相关建议.

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7、

The paper studies liquidity risk's effect on balanced stock pricing.

本文研究了流动性风险对证券均衡价格的影响.

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8、

Controlling the liquidity risk of financial institutions and broadening resource of capital by means of securitisation.

通过租赁资产证券化降低融资租赁机构的流动性风险,并扩大业务资金的来源.

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9、

Liquidity risk arises across the Group's statement of financial position.

流动资金风险之产生遍布本集团之财务状况表.

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10、

As a whole, the domestic banking system at present there is no liquidity risk.

从整体上来看, 国内银行目前不存在系统流动性风险.

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11、

Firstly, basing on the microstructure of stock market of our country, this thesis analyzes the reason and course of liquidity risk, and constructs the risk index-loss value of price spread.

首先基于我国股票市场微观结构、交易制度的现实,分析了投资者进行股票交易时所面临的市场流动性风险产生的原因与过程,并构造了本文的市场流动性风险指标&价差损失值。

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12、

Unqualified capital index, high liquidity debt ratio, high bad loan ratio and weak adaptive ability can induce liquidity risk.

资本金充足率不达标、流动性负债比例过高、不良贷款比率居高不下、对宏观环境变化应变能力不足都有可能诱发流动性风险。

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13、

Banks would not be able to manage their risk, capital and liquidity on a consolidated basis.

银行将无法统一管理自己的风险 、 资本和流动性.

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14、

That leaves the risk of letting too much liquidity slosh around the system.

由此也就剩下了美联储会让金融体系充斥着太多流动性的风险.

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15、

Abasing on Asset-Liability Structure of Commercial Bank to Research the Control of Liquidity Risk

商业银行资产负债结构与流动性风险控制

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16、

Based on the above all analyzing, this paper will go on to appraise the investment performance of the first 16 equity open-end fund in China, the skill of market timing and stock selection, the lasting performance and the liquidity risk of the fund.

在此基础上,本文对我国的16只开放式基金进行实证分析,对基金的的投资业绩、基金经理人的择时与选股能力、基金业绩的持续性以及基金的流动性风险进行评价。

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17、

I hope that this article could be helpful to the goal of stable business of commercial banks through the study of liquidity risk management of commercial banks.

希望通过对商业银行的流动性风险管理问题的研究,可以使商业银行持续稳定经营的目标得以保障。

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18、

Then, establishes the liquidity risk model based on the hypothesis of the loss value of price spread.

接着基于价差损失值的分布和波动情况建立了合理的La&VaR度量模型。

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19、

Liquidity, risk and return are three indispensable elements in the meaning of steady investment. Long-term investment is a sufficient condition of steady investment.

流动性、风险和收益构成稳健投资涵义里三个不可或缺的要素,长期投资是稳健投资的充分条件,稳健投资通常被风险厌恶者所需求。

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20、

It encourages them to think about liquidity and concentration risk.

这就鼓励他们去考虑流动资金和不断聚集的风险.

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