The balance sheet risk is transferred through three entities in less than 90 days from origination.
资产负债表内的风险在90天内通过三个实体转移出去。
The company has too much debt on its balance sheet which poses a financial risk, “ said Sanjay Chawla, telecom analyst at Anand Rathi Securities, a Mumbai firm.
“公司资产负债表上的赤字巨大,这说明财政风险较大。”孟买的AnandRathi证券公司的电信分析师桑吉·查瓦拉(Sanjay Chawla)如是表示。
But on broad-brush measures that don't risk-weight assets, the bank's balance sheet is still highly leveraged.
但如果不对资产进行风险加权评估,粗略来看,花旗集团仍留有较高的杠杆比率。
However, if a higher rate of the company balance sheet, security can easily exceed the net assets, which depends on the company's ability to control the risk.
但是,如果该公司的资产负债率较高,安全很容易超出净资产,该公司有能力控制风险而定。
Therefore, this article from the thorough analysis of the balance sheet structure foundation, discusses how to analyses the enterprise risk by using the balance sheet information.
本文在深入分析资产负债表结构的基础上,就如何利用资产负债表信息分析企业风险作一探讨。
The vast majority of HNWIs embarked on a balance sheet repair strategy to minimize risk and maximize fixed returns.
绝大多数百万富翁采取了修复资产负债表的策略,从而尽可能降低风险,并力图获取最高的固定回报。
Intermediary business, especially risk and judgment and control of off-balance sheet activities has become the focus of the attention of the central and commercial Banks.
中间业务的风险性判断和控制成为各国中央银行和商业银行关注的焦点。
However, given the insurance business is based on capital leverage, once tail risk emerges, it gives volatilities on earnings, balance sheet and share prices.
然而,鉴于保险业务基于资本杠杆率,一旦出现尾部风险,就会给收益、资产负债表和股价带来波动。
There are lots of mature fruit about balance sheet of commercial bank credit risk management, recently the business of off-balance sheet has played a more and more important role.
对商业银行表内业务信用风险的管理,目前国际上有许多成熟的成果。
Just by sheer size, materiality, risk and importance, Off-balance sheet financing rates a number 6.
考虑到业务规模、重要性及风险,资产负债表外业务排名“八大公认不可接受会计原则”的第六位。
Technical tactics is tools and methods to control interest rate risk, including In-Balance-Sheet method and Off-Balance-Sheet method.
技术对策是防范利率风险的工具和方法,包括资产负债表表内管理和表外管理。
Mr Haldane suggests that banks increased risk-taking by pursuing three different strategies: using more leverage, both on and off the balance-sheet;
霍尔丹认为:风险压力逐渐加大的银行可以有三种不同手段稀释风险:首先,银行可以参考更多资产负债表内或表外的资本与负债比率;
Mr Haldane suggests that banks increased risk-taking by pursuing three different strategies: using more leverage, both on and off the balance-sheet;
霍尔丹认为:风险压力逐渐加大的银行可以有三种不同手段稀释风险:首先,银行可以参考更多资产负债表内或表外的资本与负债比率;
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