但是在本月,几乎所有的金融市场出现了动荡,这使得分散的风险突然间转变为分散的怀疑。
But the swings in almost all financial markets this month have made dispersed risk suddenly morph into dispersed mistrust.
我们将这两种类型都视作参与类似保险业务的活动,也就是说我们为承担他人希望分散的风险而收取额外的费用。
We view both categories as engaging us in insurance-like activities in which we receive premiums for assuming risks that others wish to shed.
不同于国内绝大多数文献关于流动性和资产定价关系的研究,本文关注的是市场的系统流动性这样一种不可分散的风险。
According to the important role of liquidity on price discovery, it's quite meaningful for us to study the relationship between liquidity and asset pricing in such a transitional market of China.
更多的金融公司——都不是庞大到不能倒的——对美国商业和民众意味着更分散的财力,更分散的风险,更好的机会和更优质服务。
More financial firms — with none too big to fail — would mean less concentrated financial power, less concentrated risk and better access and service for American businesses and the public.
再次,由于能够将风险分散,这种业务受到监管机构的鼓励。
Again, this business was encouraged by the authorities as a means of spreading risk.
他们也越来越多地与他们的在同一产业内的竞争对手共同努力设立共同的规则,以分散风险和达成共识。
Increasingly, too, they get together with their competitors in the same industry in an effort to set common rules, spread the risk and shape opinion.
信贷衍生工具可能分散了危机,从而促进了全球经济的稳定,但哪些领域存在风险则不再明朗。
Credit derivatives have probably improved the stability of the global economy by dispersing risk, but it is no longer clear where that risk is being held.
私募股本集团联合竞标大型企业,有些人对此趋势感到担忧——这是否是反竞争行为?或者仅仅是分散风险的聪明手段?
Some fret about the growing tendency for private-equity groups to club together to bid for large companies—is that anti-competitive behaviour or simply a wise effort to spread risk?
多元化-拥有共同基金股份比起单独拥有股票或者债券来说,你的风险被分散了。
Diversification - By owning shares in a mutual fund instead of owning individual stocks or bonds, your risk is spread out.
这种做法理应使得整个金融系统更加安全,因为它更广泛的分散了风险。
This was supposed to make the financial system more secure by dispersing risk more widely.
二级市场的存在可以更进一步的分散风险。
通过实现不同的功能,银行分散了风险——就是说不要把所有的鸡蛋放在一只特定的金融篮子里面。
By taking on different functions, a bank spreads its risk - it is not putting all its eggs in one particular financial basket.
监管局的职责是保证各个银行符合资本充足率的要求,拥有足够流动资产,并能分散贷款风险。
Its remit will be to ensure that individual Banks comply with capital-adequacy rules, have sufficient liquid assets and spread their lending risks.
格林斯潘先生说对了一半,金融工程的确可以分散风险而且帮助整个系统更好的工作。
Mr Greenspan was half right. Financial engineering can indeed spread risk and help the system work better.
这样在降低先期成本的同时也分散了风险。
但是,它在34个国家里经营,小心谨慎,风险相对分散。此外,除了当地的一些小公司,没有额外的竞争压力。
But it carefully spreads its risk across 34 countries and has little competition other than small local firms.
矿业公司分散风险的理论有两种。
There are two theories as to how miners should spread their risks.
这种观念就是说如果你把风险分散…,风险仍然存在,并没有消失,但如果风险分散到许多人身上,那每一个人受到风险的冲击就会减少。
The idea is that if you spread risks they don't disappear, they're still there, but they're spread out over many people and the impact on any one person is reduced.
加拿大的大银行体系能更广泛地分散风险,在1907年和1929 ~ 1933年的金融恐慌中表现得也更好一些。
Canada's large banking system distributed risk more widely, and fared better in episodes of financial panic, whether in 1907 or in 1929-1933.
在经济下滑已成当前国际经济定局之时,许多国家存在的关于分散风险的争论似乎愈显不必。
The argument that being in lots of countries diversifies risk looks thinner now that the downturn has the world economy in its grip.
理论上,这些金融产品可以帮助投资人和公司分散风险,但是要给这些产品估值几乎是不可能的。
In theory, those products can help investors and companies diversify risk, but they are nearly impossible to value.
由于SOA的风险和影响是分散并且渗透到各个应用中的,在软件生命周期中尽早实行架构评估非常关键。
Because the risk and impact of SOA is distributed and pervasive across applications, it is critical to perform an architecture evaluation early in the software life cycle.
投资人不愿将金钱投向为贫穷的乡村用户构成的分散市场服务的产品,他们认为风险太大。
Investors are reluctant to pour money into products that serve a dispersed market of poor rural consumers because they see the risk as too high.
通过增加评估的可变性,将风险分散到各个目标往往比较主观,也能很好地实现——事实上,是通过扩大“误差范围”。
Factoring risk into goals tends to be subjective and is best accomplished by increasing the variability of the estimates — in effect, by widening the "margin for error".
基金组织认为近几年的市场低波动率可能得益于更为稳定的经济状况,央行可信度的提高或者金融体系风险的更好的分散。
The fund suggests the low volatility of recent years may be owing to greater economic stability, improved central-bank credibility or the better dispersion of risks around the financial system.
同时显现出来的问题是,现代金融系统分散风险的能力并没有人们认为的那么强。
At the same time, it became clear that the modern financial system had dispersed risk much less successfully than people believed.
同时显现出来的问题是,现代金融系统分散风险的能力并没有人们认为的那么强。
At the same time, it became clear that the modern financial system had dispersed risk much less successfully than people believed.
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