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.
坚持分散化战略,每年把资产重新均衡一下,以降低高风险敞口。
Stick to a diversified strategy and rebalance your holdings every year to reduce your exposure to the high-fliers.
坚持分散化战略,每年把资产重新均衡一下,以降低高风险敞口。
Stick to a diversified strategy and rebalance your holdings every year to reduce your exposure to the high-fliers.
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