These risks include institutional risk, legal risks, risk of credit, and risk of mortgage.
公积金贷款风险主要表现为制度风险、政策和法律风险、信用风险、抵押风险等。
The risk is mainly brouht by the individual trade, including descendant risk, speculative risk, floating risk and institutional risk.
其风险主要来自于单项交易、初期股指下挫的风险,投机风险,流动性风险和制度风险。
"When Banks can't find yielding assets and their book is shrinking, the cash flow on their book is shrinking," said Whalen of Institutional Risk Analytics.
“如果银行无法找到有投资收益的资产,他们的账本就要缩水,账本上的现金流也会减少,”机构风险分析公司的瓦伦热认为。
Sometimes, however, says Christopher Whalen of Institutional Risk Analytics, “the waves in the ocean are so big that it does not matter how big the boat is.”
机构风险分析公司的ChristopherWhalen说,但是,海上的风浪太大,船再大也无济于事。
Christopher Whalen, a managing partner at Institutional Risk Analytics, said that Mr. Paulson needed to justify why a wider bailout was in the national interest.
机构风险分析公司执业业务股东克里斯托弗·瓦伦说道,保尔森先生需要证实为什么这样一个广泛的救援计划是符合国家利益的。
Based on the total volume of securities involved, BofA could potentially be on the hook for hundreds of billions of dollars, says Chris Whalen of Institutional Risk Analytics, a research firm.
研究公司机构风险分析的克里斯。维纶估计,根据所有相关证券的总数,美国银行可能被套数千亿美元。
The mortgage lawsuits come from three sources, of which the smallest by far is the pre-crisis Bank of America franchise at under $10 billion in claims, according to Institutional Risk Analytics.
按揭方面的诉讼主要有三个来源,根据“机构风险分析”,其中至今最小的一个是危机前的美国银行100亿美元的诉讼赔偿。
(the exceptions have occurred in countries that have tried to maintain currency pegs.) currency risk has been of such little concern to institutional investors that many do not bother to hedge it.
(例外情形仅出现在试图维持盯住汇率制的国家)对于机构投资者而言,货币风险变得无足轻重,他们并不花费时间去限制货币风险。
The danger of a hard landing in China is the most underpriced risk in financial markets, according to a survey of more than 1,000 institutional investors by Barclays Capital.
巴克莱资本(Barclays Capital)对逾1000家机构投资者所做的一项调查显示,在金融市场上,中国经济出现硬着陆是威胁性最被低估的一种风险。
The issue for most of the recent institutional failures in the US was not one of ownership, but of inadequate risk management, skewed incentives, and limited regulation and enforcement among others.
对于最近美国大多数的模式的失败,问题不仅在于所有权,而在于风险管理不足,不合理的激励和有限的监管和执法等等。
With institutional investors entering the market and applying their own internal risk model to add an extra layer of robustness, P2P lending is gaining in importance.
随着机构投资者进入市场并利用自己的内部风险控制模型来增加市场的强度,P2P借贷变得日益重要起来。
Finally, the institutional status of the JV partner and country risk does not play a role in explaining the positive wealth gains from international JV announcement.
最后,该合资伙伴和国家风险机构的地位并没有在解释从国际合资企业宣布获得财富的积极作用。
We are seeing institutional investors come to us and ask for levels of risk that they have never asked for before.
有机构投资者来找我们,提出了他们以往从没要求过的风险层级。
With bounded rationality, it's empirically studied integrated risk management issues of institutional investors based on behavioral finance.
考虑人的有限理性,本文基于行为金融实证检验了机构投资者集成风险管理问题。
The institutional defect of securities market is the exogenous reason causing liquidity risk of the open-ended fund.
证券市场制度性缺陷是开放式基金流动性风险外生性诱因。
They Must perfect the control system of the risk and take precautions against the risk. Risk management becomes one of the main business lines of institutional investors gradually.
必须健全风险控制制度来防范风险,风险管理逐渐成为机构投资者的主要业务之一。
With institutional investors entering the market and applying their own internal risk model to add an extra layer of robustness, P2P lending is gaining in importance.
随着机构投资者进入市场,并将他们自己的内部风险模型加入到额外的稳健性层面时,P 2 P借贷正在变得越发重要。
With institutional investors entering the market and applying their own internal risk model to add an extra layer of robustness, P2P lending is gaining in importance.
随着机构投资者进入这一市场,并运用他们内部的风险模式,强化了市场,P2P借贷变得越来越重要了。
The loans are pooled together and then sold to institutional investors, often being sliced up based on the risk level.
这些贷款被聚集到一起,然后根据风险等级分块,然后卖给机构投资者。
In this paper, the new institutional economics theory was highly employed in analyzing the causes and risk of university liability from the system level.
本文运用新制度经济学的有关理论,从制度的层面,对高校负债风险的原因和应对进行了分析。
In this paper, we use game theory, institutional economics and risk theory to study the basic theory of asset impairment accounting professional judgments.
本文以博弈论、制度经济学和风险理论为基础理论来研究资产减值会计职业判断。
Both as a speculative and investment, high risk and high yield securities trading, major world security markets are as the establishment of formal institutional arrangement.
作为一种兼具投机性与投资性、高风险与高收益的证券交易方式,世界主要的证券市场都将其作为正式的制度安排确立下来。
As the result, the risk society is social root of the phenomenon and the new dualistic society is institutional factors of the phenomenon.
到底是什么原因导致了这种现象的出现?本文从风险社会和新二元社会两个视角对其进行解读。
The public finance is the end of general risk taker, how much risk the public finance will take is closely relevant to the institutional structure.
财政作为公共风险的最终承担者,其承担的程度与整个制度结构密切相关。
With improved risk culture company-wide and increasingly robust internal risk-control systems in place, strengthened institutional capacity lends itself to effective carbon pricing overall.
随着公司层面风险意识的不断增强和内控体系的日益完善,机构制度能力的整体提升更有助于有效的碳定价。
In the part of the catastrophe risk securitization, a new explanation has been done according to the theory new Institutional Economics.
在风险证券化部分则从新制度经济学的角度对风险证券化的起缘做了一个解释。
In the part of the catastrophe risk securitization, a new explanation has been done according to the theory new Institutional Economics.
在风险证券化部分则从新制度经济学的角度对风险证券化的起缘做了一个解释。
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