We have a good system in taxes, but it's imperfect because it hasn't been thought out thoroughly in terms of risk management.
我们有很好的税收制度,但它并不完善,因为它并非完全从风险管理的角度,经过考量而得出的。
But then the Parliament were made really to run, but the Kings and Queens ruled.
但是,议会成立的目的是为了管理这个国家,而国王和女王是统治这个国家。
So central banks around the world began to manage became managers of inflation rather than defenders of a gold standard.
所以,世界各地的中央银行,开始管理,成为了通货膨胀的管理者,而不是金本位制度的守卫者。
So the Hund's Rule is telling us to put the two electrons in separate orbitals unpaired as opposed to we should not put them in like this, like some librarian might want to fill nicely from left to right, up and down.
所以洪特定律告诉我们,要把这两个电子放在独立的轨道中,而不是像我们常做的那样,像一些图书管理员想要,把书从左到右,从上到下放得很好。
And the truth of whether a book should or should not be censored is something that's come about through the diligent effort of a group, rather than a single arbitrary judge like the state licenser.
但一本书是否真正被控制,是一堆人努力的结果,而不是政府出版管理处的人员专横的决定。
Every risk management device relies on a design and the design is usually complex and has-- it all has to work together.
每种风险管理工具都是基于某种设计,而这种设计通常都是很复杂的,需要各部分相互之间的配合
Here I was, back at Yale, with a billion dollar portfolio -it seemed like a lot of money at the time no portfolio management experience.
那时我在耶鲁,要管理上十亿美元的投资组合,在当时,那是笔巨款,而我却没有任何投资组合管理经验
Well what it means is that starting in the 1930s we began to think of central banks as managing the money stock to stabilize the economy.
好吧,它意味着从二十世纪三十年代开始,我们就认为中央银行是,为了稳定经济而,管理金融债券的。
For the ten years ended June 30,2005, it returned 9.9% per year and then the average return for the actively managed equity fund was 9.6% per year, so we're back to that thirty basis points.
截至2005年6月30日的10年间,该指数年收益率为9.9%,而主动管理型股权基金的年平收益率为9.6%,我们落后30个基点
The thing that's really doing the heavy hitting on risk management is really the tax and welfare system.
而税收和福利制度能真正有效地,实现风险管理。
Portfolio management pools risks in a different way: by assembling a diversified portfolio or a portfolio that's negatively correlated with a risk that someone has.
而投资组合管理采用了不同的方式,多元化的资产配置,或者风险负相关性的,投资组合
With non-participating--with participating, you are participating in the portfolio outcome that the insurance company is experiencing, so you have some uncertainty about your cash value.
所谓参与式分红保险,是指你的收益来自某个投资组合收益,而这个投资组合是由保险公司来管理的,所以保单的现金价值是不确定的
Mr. Carl Icahn: Alright, we have bad corporate governance it's evolved into this. I don't think that Washington understands how bad it is; nobody's really focused on it.
卡尔·伊坎先生:,嗯,我们的企业管理是很糟糕,这种情况也是逐渐发展而成的,我觉得华盛顿的人,并不知道企业管理的有多糟糕,并没有人太注意这个。
When people get into real trouble in their lives, it's because of a sequence of bad events that push them into unfortunate positions and, very often, financial risk management is part of the thing that prevents that from happening.
人们总会在生活中遇到麻烦,一系列糟糕的事情,会将人们推向不幸的处境,而多数情况下,金融风险管理,可以防止这种情况发生。
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