default risk中文,default risk的意思,default risk翻译及用法

2025-09-06 22:40 浏览次数 6

default risk

英[diˈfɔ:lt risk]美[dɪˈfɔlt rɪsk]

违约风险;拖欠风险

default risk 片语

片语

Default Risk Factor违约风险因子

High default risk高违约风险

default-risk structure违约风险结构

Default Risk Premium违约风险溢价

Default t risk不能收回本金的风险

default of risk违约风险

default risk evaluation违约风险评估

Credit default risk信用违约风险

default risk 例句

英汉例句

  • default risk is truly the largest concern a bond investor should have if they plan to buy a bond and hold it to maturity.

    假如投资者计划购买证券和长期持有的话,违约风险就是投资者应该真正最关心的问题。

  • jay ritter of the university of florida says the market sometimes underestimates the default risk on junk bonds. investors tend to look at recent default rates, which may be misleading.

    佛罗里达大学的杰伊*瑞特(jayritter)说,「市场有时候低估了垃圾债券的风险,投资者往往只看到最近的违约率,这可能会误导。」

  • since the fall of lehman brothers, default risk appears to have largely shifted from the banks to the governments that back them.

    自从雷曼兄弟倒闭以来,违约风险似乎已经大规模的从银行转向支持他们的政府。

  • optimal portfolio of efficient frontier controls and adjusts default risk of loan portfolio effectively.

    通过有效边界上的最优组合有效地控制和调整贷款组合的违约风险。

  • in futures contract, margin levels setting is vital in the condition of protecting against default risk and not affecting market liquidity.

    在期货合约中,既能抵御违约风险又不影响市场活跃性的条件下,保证金水平的设置至关重要。

  • rating agencies systematically underestimated default risk on vast amounts of debt, resulting in puffed-up prices and a surfeit of issuance.

    信贷评级机构常常低估大额贷款的违约风险,致使价格不切实际的上涨和大规模发行。---》评级机构在大量债务上系统性的低估违约风险,。。。

  • if a restructuring is to take place, how could it be best designed to incentivise bondholders to monitor default risk in the future?

    如果确实需要重组债务,要如何规划才能达到激励债权人对未来违约风险进行管控的最佳效果?

  • national regulators also need to look out for problems which may not be easily caught by assessment of default risk alone.

    此外,银行所在国的监管当局还需要注意那些仅凭风险评估而无法反映出来的问题。

  • the three big credit-rating agencies have overhauled their methods of assessing default risk in the american subprime-mortgage market in the past month.

    就在上个月,美国三大信用评分机构针对国内次级按揭市场固有风险的评估理念进行了彻底的检测。

  • the underpricing of default risk during the credit boom gave greece easy access to longer-term borrowing.

    在信用扩张时期,破产风险下降,令希轻易获得长期借款。

  • that prospect comes alongside concerns of more ratings downgrades and higher default risk if governments act too slowly.

    与此同时,投资者还担心,如果各国政府行动过慢,会有更多评级下调和更高违约风险。

  • the forming reasons of default risk in sc are analyzed qualitatively.

    定性分析供应链违约风险的形成原因;

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