证券市场系统风险又称市场风险,是指由于某种因素的影响和变化导致股市上所有股票价格的下跌,从而给股票持有人带来损失的可能性。
market risk 市场风险 ; 与整体市场相关的风险 ; 证券市场风险 ; 并且不能以对冲或者持有多种证券等方式加以分散 labor market 劳动力市场 ; 劳工市场 ; 劳务市场 ; 劳动市场 .
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第三部分主要分析证券市场风险管理的构架和模型。
The third segment analyses principally the frameworks and models of security market risk management.
证券市场风险是客观存在的,但是是可以预防和控制的。
The risk of securities market is objective, but it can be prevented and controlled.
而证券市场风险测量作为风险管理和防范的核心,它直接决定了风险管理和防范的有效性。
Stock market risk measurement as the core of risk management and prevention, it has directly decided the risk management and the guard is effective.
It will be about the securities market line, about the beta, about the mutual fund theorem, and it will also be about institutions that we have--about investment companies and their management.
证券市场的风险线,beta系数,共同基金定律,还有当下的一些金融机构,包括投资公司,以及他们的管理
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