(3)组合资产(portfolio assets) x 12% (4)次级资产(substandard assets) x 20% (5)可疑资产(doubtful assets) x 50% (6)固定资产和损失资产(fixed & lost assets) x100% 银行在分类基础上,利用加权平均将上述资产额乘以资本资产...
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...行股东的信誉及特点 ⑥营业过程的特征 4 次级资产(substandard assets) x 20% ⑦银行间接费用开支 5 可疑资产(doubtfull assets) x 50% ⑧在竞争中满足本地现在和将来金融需求的能力 6 固定资产和损失资产(fixed & lost assets) x100% 综合分析法比较全面,但...
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的确,是对冲基金持有了很大一部分最可疑资产。
Many of the most dubious assets were, indeed, held by hedge funds.
但是都因可疑资产中最致命的商业地产的曝光而各自于这个月的某一天关门了。
But both shut their doors within a day of each other this month because of their exposure to commercial property, the most threatening in a line-up of suspect asset classes.
不过必需承认的是,可疑资产和可承受损失的缓冲并没有在银行间分配的很平均。
Admittedly both the dodgy assets and the loss-absorbing buffers are not spread evenly.
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