• It probably has some risk, but the way we approximate things in finance, we take the government as riskless.

    它可能存在一定的风险,但在金融学上,我们忽略其风险,将政府债券看作无风险

    耶鲁公开课 - 金融市场课程节选

  • That's what, in principle, we can do and what I think is the most important concept in finance--this concept of risk pooling.

    原则上,这就是我们能做的,我认为这也是金融业最重要的概念,即风险汇聚及分摊。

    耶鲁公开课 - 金融市场课程节选

  • Basel 1988 was an effort to make sophisticated risk management requirements for banks that relied on more modern, as of 1988, financial theory.

    988年的巴塞尔协议就是致力于,在当时最新的金融理论基础之上,建立成熟完善的银行风险管理制度

    耶鲁公开课 - 金融市场课程节选

  • What Harsanyi and Rawls both gave us was a system of justice that, in my mind, conveys a sense of financial risk management.

    在我看来,海萨尼和罗尔斯向我们阐述的,是一种公正机制,融合了金融风险管理意识。

    耶鲁公开课 - 金融市场课程节选

  • So, the idea that theorists suggest-- and it may be unreachable-- but the perfect financial system would have all of our risks pooled completely.

    理论家提出的这一理论-,可能无法达到-,但是一个完美的金融体系,能够将所有的风险完全分摊。

    耶鲁公开课 - 金融市场课程节选

  • Because the financial risk management system that we have is imperfect, we aren't there yet.

    因为我们的金融风险管理体系,存在缺陷,还并不完善。

    耶鲁公开课 - 金融市场课程节选

  • Anytime there's a risk that hits one person or one country the financial markets would spread it out over everybody and it gets very small.

    如果有风险袭击一个人或者一个国家,金融市场就会将风险分摊到所有人身上,风险就变得微乎其微。

    耶鲁公开课 - 金融市场课程节选

  • We're not going to do that in a Robin Hood way, but in finance we're going to do that in a systematic way through risk management.

    我们不能像罗宾汉那样来达到那样的目的,但在金融领域,我们将通过,系统的风险管理来实现

    耶鲁公开课 - 金融市场课程节选

  • I still want to start with some theory and I thought that--well I will--I plan to start by talking about the most basic concepts of risk management, which underlie finance.

    课程开始的时候会涉及一些理论,我认为这些理论,是风险管理最基本的概念,也是金融学中最基础的概念

    耶鲁公开课 - 金融市场课程节选

  • 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。

    耶鲁公开课 - 金融市场课程节选

  • .. The problem is again the ideal-- they're trying to work toward what I think of an ideal that we see in finance-- 1 mainly, the perfect correlation of consumption and the elimination of risk--we all help each other.

    问题又回到了理想-,他们为之奋斗的这种理想状态,如果用金融学的理念来解读-,就是消费与风险消除的相关系数为,即完全正相关,所有人都互助互利。

    耶鲁公开课 - 金融市场课程节选

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