与日俱增的风险以及流动性降低引起了资产价格波动性,对于那些高保证金的非流动性资产尤其如此。
The increased risk and illiquidity has also lead to a spike in volatility, contributing to the higher margins.
因此,可以通过度量上市银行股票价格的波动性来考察它们面临的风险信息,进而全面评价它们的综合竞争力。
Therefore, we can study the risk exposure through measuring the fluctuation of stock price of listed Banks and then make comprehensive evaluation of these Banks' competitiveness.
学会如何利用价格的波动性以及动量分时来降低交易进场时交易资金的风险。
Learn how to use price volatility and the momentum minute to reduce the risk to trading capital when making a trade entry.
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