实际违约是指在合同履行期限到来以后,当事人不履行或不完全履行合同义务的行为。
贷款组合信用风险度量的显著特征是缺少实际违约数据。
Loan portfolio credit risk measurement is significantly characterized by lack of empirical default data.
这表明,针对其他欧元区国家应该如何应对潜在或实际违约问题上,制定应急计划是合理之举。
This suggests that it would be sensible to draw up contingency plans for how the rest of the euro area should best respond to a threatened or actual default.
国债一旦实际违约,将是一场史诗般的灾难——但这种可能性却机会不大,即便国会无法在技术上达成协议。
An actual default would be an epic disaster — but it's enormously unlikely, even if Congress technically hasn't reached a deal.
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