Macro Risk Advisors 宏观风险顾问公司 ; 宏观风险咨询公司
Macro-credit Risk 宏观信用风险
macro financial risk 宏观金融风险
macro-environmental risk 宏观环境风险
Due to the situation that CSV model is not suitably used to analyze the assets structure consisted of self-assets, this paper tried to discuss the first-best assets structure of big banks when the macro-risk can’t be dispersed completely.
笔者针对CSV模型不适用于分析银行资本结构中包含自我资产的这一情况,对不可完全分散的系统风险下大规模银行的最佳资本结构进行了理论研究。
参考来源 - 论系统风险下的银行最佳资本结构·2,447,543篇论文数据,部分数据来源于NoteExpress
以上来源于: WordNet
Therefore, for China, first and foremost is to maintain fundamental balance in macro economy, guard every kind of risk and hedge what is necessary.
因此,对中国来说,首先,最重要的是在宏观经济上注意保持基本平衡,注意防范各类风险,该对冲的要对冲掉。
Often it describes macro-prudential risk, which arises mainly from the ability of financial market participants to persuade each other of absurd things.
系统性风险通常描述的是宏观审慎风险,主要来自金融市场参与者说服彼此相信荒谬事情的能力。
The same is true of macro-prudential regulation, the idea that a group of wise men can focus on systemic risk, rather than get bogged down in the details of individual firms’ finances.
宏观审慎监控也是一样。 一群聪明人的智慧能够专注于系统风险,而非拘泥于个人公司金融的细节之中。
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