Financial Market Risk的意思|示意

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金融市场风险


Financial Market Risk的网络常见释义

金融市场风险 6、金融市场风险(Financial Market Risk)是指由于金融市场变量的变化或波动而引起的 资产组合未来收益的不确定性。

Financial Market Risk相关短语

1、 Financial market risk management 金融营销风险管理

2、 financial market risk measurement 金融市场风险度量

3、 Financial Market Systematic Risk 金融市场系统性风险

Financial Market Risk相关例句

Comprehensive financial management, market competition, financial market risk prevention pressure.

金融综合经营加快,市场竞争激烈,金融市场风险防范压力较大。

As a result, on condition of heavy-tailed distributions, it is more important to manage financial market risk.

因此,在厚尾分布条件下金融市场风险管理将更加重要。

Commercial bank's financial risk generally includes credit risk, market risk, liquidity risk, operation risk, legal risk and policy risk.

商业银行的金融风险一般包括信用风险、市场风险、流动性风险、操作风险、法律风险和政策风险。

Along with the liberalization of interest rate of our country, the risk of interest rate becomes one of the major risks of financial market gradually.

随着我国利率市场化的稳步推进,利率风险逐渐成为金融市场的主要风险之一。

The market exit risk of the China's financial institutions highlighted in commercial Banks.

我国金融机构市场退出的风险突出表现在商业银行上。

Often it describes macro-prudential risk, which arises mainly from the ability of financial market participants to persuade each other of absurd things.

系统性风险通常描述的是宏观审慎风险,主要来自金融市场参与者说服彼此相信荒谬事情的能力。