如何计量企业信用资产那?
第四章主要是介绍企业信用资产管理的内容。
Chapter four is about the content of enterprise credit asset management.
利用定量方法对个人信用资产指标体系进行研究。
The index system of personal credit assets is investigated by means of fixed quantity methods.
长期以来,我国商业银行对信用资产主要采取持有到期的管理方式。
Holding maturity has long been the main method for the credit asset management in the commercial Banks of China.
为此,本文提出了企业信用资产管理的问题,让企业去管理自己的信用资产。
So this paper gives the problem of enterprise credit asset management, let enterprise manage their credit assets.
如果你一直在等待好时机,要申请家庭信用资产额度或抵押,那么今天就是行动的好时候。
If you've been waiting for a good time to apply for a home equity line of credit or a mortgage, then today will be an ideal day to act.
借款人违约将直接导致商业银行产生不良贷款,造成信用资产损失,并侵蚀银行的资本金。
Once the debit side break the loan contract that the commercial will bring bad assets, lead to loss and erode the capital of bank.
作为一种实物资产,黄金的价格虽然有升有降,但其具有其他任何信用资产都无法比拟的优越性。
Although the gold price rises and falls as a type of physical assets, it still has clear superiority that is incomparable by any other credit assets.
接下来结合苏州农业银行信用资产特征和信用风险管理现状,分析了引入先进信用风险度量方法的必要性。
Related to character of credit assets and actuality of credit risk management, it finds necessity in introducing more advanced risk measurement method in Agricultural Bank of China Suzhou Branch.
信用资产组合模型的分布计算是信用计量模型中一个非常重要的主题,对于这个问题一般常用的方法是进行蒙特卡罗随机模拟。
A new bilevel programming model-bilevel stochastic programming model is presented and the genetic algorithms based on Monte Carlo simulation to solve bilevel stochastic programming problem is given.
我们认识到这是一个切实的问题,有可能会覆盖所有场外衍生品合约——掉期、远期、期权,无论是利率、外汇、信用资产还是其他。
We understand it to be a real issue that could potentially cover any over-the-counter derivative contract - so swaps, forwards, options, whether interest, FX, credit equity or other.
拥有这些资产的银行正在限制信用,让商家和消费者更难取得贷款。
Banks holding these assets are restricting credit, making it harder for businesses and consumers to get loans.
日本企业凭借它们的高市值,收购了一批值得炫耀的外国资产,日本银行则拥有全球最高的信用评级。
Japanese corporations were using their high market capitalisations to finance acquisitions of foreign trophy assets. Japanese Banks boasted the world's strongest credit ratings.
银行必须公布有关资产负债以及信用和操作风险计算模型的详细情况。
Banks must publish details of their assets and liabilities and of the models they use to calculate credit and operational risk.
而市场风险小组认为它们是信用工具,因为这些产品的基础资产是贷款。
Market-risk teams saw them as credit instruments, since the underlying assets were loans.
此举也许会使央行面临过大的信用危机,同时也有可能会延缓抵押支持资产市场的复苏进程。
This practice may be exposing central banks to too much credit risk, as well as stalling the recovery of the market for mortgage-backed assets.
难以获得信贷对小公司的打击尤其沉重,这类公司更可能至少部分由业主的个人资产和信用支撑。
Difficulty accessing credit takes a toll on small companies in particular, which are more likely to be at least partly supported by the owner's personal assets and credit.
信用危机中,它的两大银行拥有大约占其风险加权资产1.5%的额外缓冲等价物。
Going into the credit crisis, its two big Banks had an extra buffer equivalent to about 1.5% of risk-weighted assets.
这些选择包括各种各样的资产种类,例如标准股指标和信用违约互换指标。
These include options on a variety of asset classes, such as equity indices and credit-default-swap indices.
当该企业寻求遵守巴塞尔委员会设定的国际资本标准这一银行业标准时,总裁布莱恩·莫伊尼汉就已经出售了信用社业务和资产。
Chief executive Brian Moynihan has been selling businesses and assets as the firm seeks to comply with international capital standards set by the Basel committee on banking standards.
而救援计划将只购买那些原有信用评级达到AAA级的债券,这一原则就把那些最差的资产排除在外。
And the scheme will buy only securities that originally had an AAA credit rating, which rules out the nastiest stuff.
传统上,债权人可以对任何信用卡到期不还者采取强硬措施,因为持卡人是拥有资产的。
Traditionally, the creditors could play tough with any accounts that became delinquent because the cardholders had assets.
传统上,债权人可以对任何信用卡到期不还者采取强硬措施,因为持卡人是拥有资产的。
Traditionally, the creditors could play tough with any accounts that became delinquent because the cardholders had assets.
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