Now that investor attention has shifted to sovereign risk, the three big agencies (Fitch, Moody’s and Standard & Poor’s) once more find themselves at the centre of the action.
现在投资者的注意力已经转移到了主权风险,三大机构(惠誉,穆迪和标准普尔)再次发现自己处于关注的中心。
But before the presentation, as required by law, Yahoo's head of investor relations read the list of risk factors — things that could go wrong for shareholders and depress the stock even further.
在报告公布之前,雅虎的投资者关系主管按规定列举了一系列进一步降低股价的风险因素。
The loans they guarantee, in contrast, carry only credit risk (the other risks are borne by the investor in the securities).
现对比他们保证的贷款之承担着信贷危险(其他的危险又在有有价证卷的投资者所承担)所以变得更加有效率,担保生意也而且更加安全。
Default risk is truly the largest concern a bond investor should have if they plan to buy a bond and hold it to maturity.
假如投资者计划购买证券和长期持有的话,违约风险就是投资者应该真正最关心的问题。
Offsetting the high risk the investor takes is the promise of high return on the investment.
投资者因承担了高风险因而可以获得高额的回报。
Under the circumstances, a risk-averse investor, might -- instead of sitting totally in cash on the sidelines -- start building a position or two in some of the soundest of these companies.
在这种条件下,即使保守类型的投资者也完全可以在适当点位适当的买入一些财务健康的公司的股票。
These stock-market drops and interest-rate spikes are largely the repricing of investor risk – amplified by the fact that few people are trading heavily in August.
股票市场下跌和利率上涨很大程度上是投资人风险的重新定价,8月份没人大量交易也放大证实了这点。
But as a younger investor, you want to have a bit more risk exposure, since greater risk tends to translate into greater returns over the long term.
不过,作为一名较年轻的投资者,你应该拥有多一些的风险敞口,原因是长远来看,更大的风险往往意味着更高的回报。
These findings emphasize the role of market segmentation and investor risk aversion on the use of catalytic bond.
这些研究结果强调市场细分的作用和投资者对风险的规避对债券的利用具有推动作用。
This risk grade is only for reference. Investor should not require Qilu Bank to take responsibilities based on the risk grade.
该评级仅供参考,投资者不得基于该风险评级要求齐鲁银行承担责任。
The agency risk of institutional investor is existed objectively.
机构投资者的代理风险是客观存在的。
It is certainty that the forward market risk exists, need the angles of three transaction subjects from futures exchange, manager's company of the futures and investor, risk control measures set up.
期货市场风险存在是必然的,需要从期货交易所、期货经纪公司和投资者三个交易主体的角度,建立的风险管理措施。
While we continue to view the medium-term (multi-month) outlook for a sharp rebound in economic activity as highly premature, the investor stampede to own risk appears similarly highly resilient.
尽管我们依然认为经济活动短期(几个月内)复苏的前景是极不成熟的,但投资者抢持风险资产显得相当活跃。
The growth enterprise markets in other countries and areas face with market risk, listed company risk, investor risk and policy risk.
世界各国和地区的创业板市场都普遍面临着市场风险、上市公司风险、投资者风险和政策风险。
Interest rate risk: If the People's Bank of China increases the deposit interest rate in the financing product's duration, the investor won't have the opportunity of increasing benefit in deposit.
利率风险:产品存续期间,若人民银行提高存款利率,投资者将失去及时将资金配置于存款时收益提高的机会。
That the commercial risks belong to the range that the foreign direct investor oneself can control, but control of non-commercial risk is not in their power.
商业风险属于对外直接投资者自身可以控制的范围,而非商业风险的控制则非其能力所及。
For AIM to have succeeded there must have been considerable investor appetite for smaller growing companies with potential for higher returns to off-set the greater risk.
对于AIM来说,要成功就必须有相当的投资者对潜在的高回报和高风险并存的中小型增长公司感兴趣有潜在高回报的小型增长型公司有兴趣,以抵销其较大风险。
This article analysis the mechanism of governance to avoid the risk of asymmetric information among the venture investor, venture investment company and venture company.
文章对存在于风险投资者、风险投资家、创业者之间的信息不对称,分析了风险投资中的制衡机制。
The establishment of securities corporation withdrawal mechanism is exceptive and complicated. It is including securities corporation withdrawal, investor protection and reduce the financial risk.
证券公司市场退出机制是一个特殊、复杂的制度建设,不仅包括证券公司的退出、还包括投资者保护,以及降低金融风险等内容。
These investment biases consist of investor cognition bias of price fluctuation, the estimation bias of stock value, the management bias of risk and return, the operation bias of stock trading.
这种偏差包括投资者对于股票价格波动的认知偏差、投资者对股票价值的估计偏差、投资者对风险和收益的管理偏差和投资者在股票交易过程中的操作偏差。
In comparison, the Ford Motor Corporation's bond issued in Singapore dollars and therefore carrying no currency risk for a Singapore investor also matures in 2004.
相比之下,福特汽车公司以新元发售——因此对新加坡投资者来说没有汇率风险的债券,也是2004年到期。
The quanto option is a contingent claim whose investor has to consider to avoid the risk from both the foreign stock price and exchange rate simultaneously.
汇率连动期权是一种未定权益,其投资者不得不同时规避国外股票和外汇价格变动的风险。
Abstract: Based on risk aversion, the entrepreneur has to cooperate with the investor when having no capital or only a part.
摘要:风险规避条件下,如果企业家无资本或部分有资本,那么企业家必须与投资者合作;
Abstract: Based on risk aversion, the entrepreneur has to cooperate with the investor when having no capital or only a part.
摘要:风险规避条件下,如果企业家无资本或部分有资本,那么企业家必须与投资者合作;
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