政策风险(Policy Risk)是指政府有关证券市场的政策发生重大变化或是有重要的举措、法规出台,引起证券市场的波动,从而给投资者带来的风险。
According to the source of risk, the risks of trust business mainly consist of policy risk, market risk and operation risk, and so on.
从风险来源看,信托业风险主要有政策风险、市场风险和经营风险等。
参考来源 - 中国信托业风险研究·2,447,543篇论文数据,部分数据来源于NoteExpress
今天的某些紧张情绪来自政策风险。
如果需求上不去,奥巴马的增税政策风险将很大。
Mr Obama's tax increases will seem more risky if demand is weak.
在这样的国内环境下,公司必须防范政策风险,就如金融和运营风险一样。
Under such domestic context, companies must manage policy risk just as they manage financial and operational risks.
They have a lot of time to look in monitor and analogues. And from a government policy perspective and a banking policy I wander whether the issue of risk of mispricing and so forth had much of the information been more generally available to the average public average person?
他们有很多的时间去关注监视器和,其他类似的东西,从政府政策,和银行政策的角度出发,我在想,错订价格的风险等议题,和其他很多信息能否让,大众,普通人更广泛地接触到?
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