• "It's a risk factor in a similar way that elevated cholesterol is a risk factor for heart disease."

    VOA: standard.2010.03.09

  • And so it's usually the case that you can get a higher return if you're willing to take more risk.

    同样很常见的例子是,所以如果你愿意冒高风险,你可能就会有高回报。

    麻省理工公开课 - 计算机科学及编程导论课程节选

  • It's like a fourth asset but we're using a special feature of this asset: that it has no risk.

    如同第四种资产,我们将利用这个资产的特性:,即无风险特性。

    耶鲁公开课 - 金融市场课程节选

  • It's a risk nobody wants to take." Greece's problems are also spilling beyond Europe's borders.

    VOA: standard.2010.02.26

  • I just say that in passing to call your attention to it as a risk that's involved in our engagement with a hermeneutic project of the nature of Gadamer's.

    我这样说只是为了提醒你们,研究有伽达默尔的诠释学理论时,可能有这样的风险。

    耶鲁公开课 - 文学理论导论课程节选

  • They also argue the veil presents a security risk, since it hides the wearer's face.

    VOA: standard.2010.01.30

  • It's a continuation of the second lecture, where I talked about the principle of dispersal of risk.

    作为第二节课内容的延续,当时我讲过关于风险分摊的原则。

    耶鲁公开课 - 金融市场课程节选

  • "Whenever a country imposes rules on business that hurts the business that makes it less appealing to consumers, there's a risk that,first of all, the businesses that do operate in the country will suffer.

    VOA: standard.2010.08.02

  • 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

  • If the insurance company has risk, it's because they've made a mistake.

    如果说保险公司有风险的话,那是因为他们犯了一个错误。

    耶鲁公开课 - 金融市场课程节选

  • There was a conditional agreement: yes, Norway should manage this oil risk but it's politically difficult and that's the problem-- is that we're not able to do our optimal management.

    他们在一定程度上同意我的观点:,是的,挪威应该设法解决石油的风险,但这在政治上很困难,其问题在于-,挪威无法做到最优的管理。

    耶鲁公开课 - 金融市场课程节选

  • Nobody knows how bad the mortgage crisis is going to get but Ben Bernanke thinks that it's so important that we prevent a collapse that we should take that risk.

    没有人知道抵押危机,到底会有多坏的影响,但是本?伯南克认为,预防承担那个风险所带来的暴跌,是非常重要的。

    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

  • In Renaissance Italy they started writing insurance policies-- I read one of the insurance policies, it's in the Journal of Risk and Insurance-- and they translate a Renaissance insurance policy and it's very hard to understand what this policy was saying.

    在文艺复兴时期的意大利,人们开始编写保单,我看过其中一份,刊登在《风险和保险杂志》上,他们翻译了一份文艺复兴时期的保单,但是很难理解那份保单到底想说什么

    耶鲁公开课 - 金融市场课程节选

  • That's not a way that we really think about it, but I do believe that the risk level of the University's portfolio is really quite low in statistical terms -much lower than the risk level that you'd have if you had a traditional portfolio dominated by marketable securities.

    这一般不是我们考虑的关键,但我相信,耶鲁投资组合的风险水平,在统计数字上是非常低的,远远低于,持有一个传统的可交易证券主导的,投资组合的beta系数

    耶鲁公开课 - 金融市场课程节选

$firstVoiceSent
- 来自原声例句
小调查
请问您想要如何调整此模块?

感谢您的反馈,我们会尽快进行适当修改!
进来说说原因吧 确定
小调查
请问您想要如何调整此模块?

感谢您的反馈,我们会尽快进行适当修改!
进来说说原因吧 确定