保证金风险(margin risk): 由于借入资金(保证金) 引起的收益率的不确定性。 可赎回风险(callability risk): 由于发行人可能在证券到期之前就将证券...
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This paper studies on research and judge way of exchange rate change trend and margin risk control which is based on the author's own working experience.
总结本人的长期实际运作经验与教训,选择《汇率变化趋势研判方法及炒汇风险控制技术研究》作为研究课题。
参考来源 - 汇率变化趋势研判方法及炒汇风险控制技术研究 (研究生论文)·2,447,543篇论文数据,部分数据来源于NoteExpress
Asset-liability mismatch risk, liquidity risk and margin risk are among the ten potential risks currently focused by the CIRC.
资产负债错配风险、流动性风险及利差损风险也正是目前保监会聚焦的行业十大潜在风险之一。
The finance industry will not soon reverse its extra margin call and even if it did, investors are not about to treat Italian debt as “risk free”.
短期内,金融业调降国债保证金的可能性很小,而即使恢复到上调之前的水平,意大利国债对于投资人而言也不再是“零风险”的了。
The slim margin for error means confidence could still evaporate, with even good Banks dragged down by counterparty risk.
细微的误差率也可能意味着信心的消失,因为即使实力雄厚的银行都可能被交易对手风险拖垮。
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