• The forth chapter analyze the credit default risk of the consumer and then recommend the methods of the risk control of auto financial company.

    第四,从博弈论角度分析消费者信贷违约风险从而提出汽车金融公司的风险控制手段

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  • Due to the Treasury of the debtor is country, its repayment guarantee is the national fiscal revenue, so it is almost no credit default risk, financial market risk minimum credit instruments.

    国库券债务人国家还款保证国家财政收入所以几乎存在信用违约风险,是金融市场风险最小的信用工具

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  • For example, the Universal Credit programme is one of the first 'Digital by Default' services, using an Agile approach to reduce delivery risk and improve business outcomes.

    例如通用信贷系统第一批“默认数字化服务之一,使用敏捷方法降低交付风险提高业务成效

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  • Of the three firms, AIG represents their best hope, even though its credit spreads are still at levels that suggest a real risk of default.

    尽管AIG信贷息差水平仍然存在违约实际风险,但家公司当中,AIG仍它们最大的希望

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  • Credit derivatives, for example, allow investors to separate the risk of default from other risks, such as interest-rate movements.

    信贷衍生工具例如允许投资者通过其它风险中分割违约风险正如利率运作

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  • Investors who had assumed an almost equal risk of default among euro-zone countries are now relying on emerging-markets desks to help them understand the credit risks they are taking.

    认为欧元区内国家几乎有着同等违约风险投资者现在依赖于新兴市场柜面来分析他们承担信用风险

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  • The three big credit-rating agencies have overhauled their methods of assessing default risk in the American subprime-mortgage market in the past month.

    上个月美国信用评分机构针对国内次级按揭市场固有风险评估理念进行了彻底的检测。

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  • Credit default swaps "didn't cause the problem, but they certainly exacerbated the financial crisis," said Leslie Rahl, President of Capital Market Risk Advisors, a consulting firm in New York.

    信用违约互换没有引起问题但是他们确实恶化金融危机。”纽约一家咨询公司纽约咨询公司主管Leslie Rahl

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  • The advent of these new investors may have been responsible for some wild swings in credit spreads (the excess yields paid by companies to reflect the risk of default).

    投资者出现部分导致了信用价差(Credit spreads)(公司补偿违约风险付出额外收益)强烈震荡

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  • The first is the explosion of credit derivatives, which protect buyers from the risk of default.

    第一信贷衍生物爆炸式增长保护买方免受违约之风险

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  • Going short on bonds by buying a CDS contract carries limited risk but unlimited profit potential; by contrast, selling credit default swaps offers limited profits but practically unlimited risks.

    通过买入CDS合约来做债券风险有限利润潜力却是无限的;与之相反出售CDS只能带来有限的收益,风险几乎是无穷尽的。

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  • Another way of looking at credit risk is by comparing the LIBOR spread with the premiums charged on Banks' credit-default swaps (CDSs), which measure the risk of default.

    另一个观察信用风险途径比较伦敦同业拆借率较银行信用违约互换升水的情况,信用违约互换是衡量违约工具。

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  • So credit default swap can reduce the concentration degree of credit risk in the prerequisite of not influencing the relationship with customers, therefore avoid the credit risks effectively.

    因此信用违约互换可以影响客户关系前提下降低风险集中度从而有效回避信用风险

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  • Credit default swaps, he points out, simply allow lenders to offload the risk of a default on a loan to someone else who, for a price, is willing to take on this risk.

    指出信用违约交换简单地讲,就是贷款人卸下贷款违约风险,转移给一个愿意某种价格承担这项风险的

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  • Besides market risks, Goldman also assesses credit risks, based on whether a counterparty might default on a loan or fail to honour a derivative contract, and liquidity risk.

    除了市场风险高盛评估业务相对方拖欠贷款衍生合同违约所带来的信用风险,以及流动性风险

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  • In recent weeks there has been a rise in both LIBOR (a gauge of Banks' borrowing costs) and the credit-default-swap spreads on bank bonds (the cost of insuring against default risk).

    最近几周LIBOR指数(银行借入成本指标)银行债权的CDS(信用违约互换)利差(抵御破产风险所支付的成本)都有所上涨

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  • How to construct the credit risk model of default probability model?

    如何构建违约概率模型信用风险模型体系?

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  • Reducing risk: Sophisticated credit scoring systems have reduced the risks of default and foreclosure while enabling the expanded use of automated underwriting systems.

    降低风险复杂的信用评分体系降低违约风险丧失赎取权风险,而同时扩大自动保险系统的使用

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  • Modeling correlated default risk is a new phenomenon currently sweeping through the credit markets.

    相关违约风险进行建模,在当前信用市场的一种现象

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  • As debtor's default risk, credit risk has become the uppermost risk of the economic and financial system in our country.

    作为债务人可能违约风险信用风险成为我国经济金融系统主要的风险。

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  • The term sub prime refers to the credit quality of particular borrowers, who have weakened credit histories and a greater risk of loan default than prime borrowers.

    术语次级特殊贷款者信贷品质他们不良信贷的史例并且初级贷款者拖欠贷款风险更高

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  • The interest of treasure bond is basic interest because it has no credit risk, it cannot be disturbed by default, and only reflects the relationship between yield and term.

    由于国债基本上没有信用风险,其利率违约风险的干扰反映期限关系,适合做基准利率。

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  • Applying structural approach to modeling default risk, the pricing of default risk zero-coupon bond and a credit spread term structure under incomplete information is developed.

    运用违约风险评估结构化建模方法,在信息不完全的情形推导了风险零债券定价公式得到了此时信用利差期限结构

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  • Considering that credit risk and market risk is well correlated, gave the pricing model of credit default swap based on the COX process.

    基于信用风险市场风险密切相关,提出基于COX过程信用违约互换定价模型

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  • Loan portfolio credit risk measurement is significantly characterized by lack of empirical default data.

    贷款组合信用风险度量显著特征是缺少实际违约数据

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  • How to fully accurate reflect default dependence in loan portfolio credit risk measurement, is the the focal point of current academic research and practical applications.

    如何贷款组合信用风险度量充分准确反映违约依赖性当前学术研究实践应用中的重要问题之一。

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  • And credit risk management is the core of the pricing of the bonds default.

    信用风险管理核心就是违约债券定价

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  • However, the importance of the money lent will be lost because borrower default (credit risk) from a portfolio of loans has increased.

    但是由于借款人贷款组合违约情况(信用风险)增高,所借款项重要性便今非昔比了

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  • However, the importance of the money lent will be lost because borrower default (credit risk) from a portfolio of loans has increased.

    但是由于借款人贷款组合违约情况(信用风险)增高,所借款项重要性便今非昔比了

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