A swap designed to transfer the credit exposure of fixed ine products between parties.
将固定收入产品的信用在双方间转移的互换。
Credit exposure that may develop on an obligation due to possible changes in its market value.
是指由于未来市场价值的变动而可能引致的信用风险暴露。
Mark-To-Market exposure refers to credit exposure calculated from instruments' current market values.
按市值计价风险暴露是指按金融产品当前市值计算的信用风险暴露。
Major financial firms used derivatives to increase their credit exposure to each other, rather than decrease it.
主要金融机构使用衍生工具增加了而不是降低了他们相互之间的风险暴露。
Article 14 of the international practice in handling credit exposure joint affairs in mistakes, criticism or no notice punishable by one to five years of trade sanctions;
第十四条国际信用执业人员在处理联合曝光事务时,发生失误的,处以公告批评或禁业一至五年的处分;
As Banks globally grapple with souring investments tied to U.S. subprime mortgages, Europe's Banks have added to the problems for investors because they differ in how they value their credit exposure.
就在全球银行业深陷美国次级抵押贷款的泥潭之际,由于欧洲各银行对自身信用风险的评价方式各不相同,这使投资者平添了更多困扰。
AIG had a vast business in credit default swaps and therefore a huge exposure to a residential mortgage crisis.
AIG经营者巨大的信用互换业务,因此在此次房屋次贷危机中面对巨大的风险。
A second reason is the massive growth of credit derivatives, which has given investors the ability to sample the debt markets so as to get exposure to the precise risks they find attractive.
第二个原因在于信用衍生产品的大量增长,它们给予投资者在国债市场抽样的能力,从而使得投资者只暴露于他们觉得有吸引力的精确风险之下。
The conventional methods of managing credit risk, such as diversification, bank loan sales, and asset securitisation, offer only a partial solution to controlling credit risk exposure.
传统的信用风险管理办法,例如分散化,银行贷款出售和资产证券化,只提供了控制信用风险暴露的部分办法。
With one, Berkshire significantly increased its exposure to credit-default swaps.
在其中一起交易中,伯克希尔显著提高了在信用违约掉期领域的敞口。
After 72 hours of exposure to ambient light, strands ofnanoparticles twisted and bunched together. Credit: Nicholas Kotov
经过72小时地暴露于环境光下面以后,可把多股纳米粒子扭曲和捆绑在一起。
With the exposure of false cases of listed companies which are audited by CPA, the credit crisis and professional risks of CPA profession prick up more and more.
随着经注册会计师审计的上市公司造假案件的频频曝光,注册会计师行业的信誉危机和执业风险日益加剧。
The goal of credit risk management is to maximise a bank's risk-adjusted rate of return by maintaining credit risk exposure within acceptable parameters.
对信用风险管理的目标是尽量维持在可接受的参数信贷风险,银行的风险调整回报率。
In this article, the author presents his studies in measuring such credit risk factors as default possibility, default loss, default exposure and maturity and default...
文章对违约概率、违约损失率、违约敞口、期限因素以及违约相关性等信贷资产组合信用风险的风险因子的度量进行了综合研究。
Financial institutions with direct or indirect exposure to sub-prime mortgages have started reporting huge profit losses, and their increased reluctance to lend has led to tighter credit conditions.
直接或间接受到次贷问题影响的金融机构开始报告巨额损失,而它们越来越低的贷款意愿也导致信用紧缩。
This expansion of credit, he goes on, has been accompanied by a distribution of risk that exposed to ruin millions of people who were unaware of their exposure.
他继续说,信贷扩张伴随着风险的分配,千百万人遭遇风险,但他们根本不知道自己可能面临的灭顶之灾。
Morgan Stanley's share price recovered somewhat after fears about the bank's exposure to Europe unnerved investors. Credit-default swap spreads for Morgan Stanley jumped.
在对银行受到焦虑的欧洲投资者冲击的恐惧过后,摩根股价出现小幅回升。摩根信贷违约掉期息差飙升。
Defined the personal credit investigation system's key is the exposure of credit information to the public, and it involved four parties and three basic legal relationship.
个人征信制度的核心在于个信用信息的公开,其涉及四个基本当事人和三个基本法律关系;
Some of the extra losses baked in to the market value haircut derive from the bank's exposure to the private Greek credit market through the bank's local subsidiary.
法兴银行的希腊子公司还参与了希腊私人信贷市场,这也带来了风险,该行股价下跌过度可能与这一因素不无干系。
The lower volatility of credit than equity implies that, even apart from the benefits of matching liabilities, an insurance sector with greater exposure to credit than equities may be more stable.
信贷的波动性小于产权,意味着,即便除了与债务相对称之外,信贷营业量超过产权营业量的保险公司可能会更为稳定。
But the violent drops in their share prices seem to go beyond the Banks' exposure to Greece and the credit downgrade.
可是,这些银行股价的暴跌看起来不能仅用希腊国债风险敞口和评级遭下调来解释。
But the violent drops in their share prices seem to go beyond the Banks' exposure to Greece and the credit downgrade.
可是,这些银行股价的暴跌看起来不能仅用希腊国债风险敞口和评级遭下调来解释。
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