特别在信用风险已经被打包并转售时,人们普遍认为对冲基金的增长分散了市场风险。
It is commonly assumed that the growth of hedge funds has dispersed market risk. In particular, credit risk has been packaged up and resold.
传统的信用风险管理办法,例如分散化,银行贷款出售和资产证券化,只提供了控制信用风险暴露的部分办法。
The conventional methods of managing credit risk, such as diversification, bank loan sales, and asset securitisation, offer only a partial solution to controlling credit risk exposure.
因为银行一般不会在国家或行业间分散其信用风险,而且银行都是高杠杆经营的,国内经济的严重下滑是致命的。
Because the bank generally not disperses its credit risks in the country or the industrial, moreover bank is the high leverage corporation, domestic economy slide is fatal to commercial bank.
信用风险转移在分散和降低银行风险的同时,也带来了新的风险,从而影响金融稳定。
Credit risk transfer disperses and reduces the risks of Banks, but it also brings new risks and thus affects financial stability.
信用衍生产品自问世以来在分散金融机构信用风险、完善信用风险定价机制、提高债券市场流动性等方面发挥了积极的作用。
Credit derivatives have been playing an important role in diversifying credit risk, improving credit risk pricing mechanism, enhancing bond market liquidity etc.
信用衍生产品自问世以来在分散金融机构信用风险、完善信用风险定价机制、提高债券市场流动性等方面发挥了积极的作用。
Credit derivatives have been playing an important role in diversifying credit risk, improving credit risk pricing mechanism, enhancing bond market liquidity etc.
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