• In the early 1990s, Sweden nationalized some banks and later sold their troubled assets, recovering some costs.

    VOA: special.2009.01.30

  • But banks and broker-dealers are in trouble because their assets are collapsing under them.

    但是银行和经纪自营商正处于困境中,因为它们的资产正在它们之中崩塌。

    耶鲁公开课 - 金融市场课程节选

  • Banks are in trouble and as you know - they're starting to fail because they the value of their assets in the market is falling rapidly.

    银行陷入危机,并且你知道,他们开始破产因为他们,市场中资产的价值,在迅速的降低。

    耶鲁公开课 - 金融市场课程节选

  • Those on the list are banned from international travel and may have their foreign bank accounts and assets frozen.

    VOA: standard.2009.03.28

  • The net worth of the company is their assets minus their liabilities and that represents the value that the company has if they paid off all their liabilities.

    公司净资产为,资产减去负债,也表示,公司清偿债务后的价值

    耶鲁公开课 - 金融市场课程节选

  • He said the Treasury Department now has the authority to block or seize any assets, accounts or securities under U.S.jurisdiction held by these organizations or anyone acting on their behalf.

    VOA: standard.2009.04.15

  • What he does as you know is takes over a company and shakes them up and in some cases is accused of stripping their assets.

    就像你们知道的那样,他所做的,就是接管一个公司然后将其整顿改组,同时,在有些情况下,剥削它的资产。

    耶鲁公开课 - 金融市场课程节选

  • They've got so much of their assets tied up in oil.

    而他们却把大部分的资产,都与石油联系在一起。

    耶鲁公开课 - 金融市场课程节选

  • It's looking at the problem that certain troubled institutions have that their assets can't be sold and it's just saying okay we'll replace them with assets that can be sold.

    它正专注于那些,特定的问题机构所面临的问题,那些机构的资产不能被卖出,然而机构仍在说,好的,我们将用可转卖的资产代替它们。

    耶鲁公开课 - 金融市场课程节选

  • What was happening was, these banks were not being watched carefully enough; their capital requirements were not enough for the kind of assets they were investing.

    当初是因为,对这些银行监管不力,它们的资本水平没有达到,投资这类资产的要求

    耶鲁公开课 - 金融市场课程节选

  • You take all the risky assets ... and you analyze them first to get their-- you have to do a statistical analysis to get their expected returns, their variances, and their covariances.

    你需要对所有的风险资产进行分析,首先要得到它们的-,你必须要做一个统计分析,算出它们的预期收益率,方差,和它们的协方差。

    耶鲁公开课 - 金融市场课程节选

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