1) risk-weighted asset
风险加权资产
3) risk property
风险资产
1.
Because the city commercial bank still had the disparity for the request of the new agreement in aspects of composition of capital,capital sufficient degree as well as risk property structure and quality,we had to contrast own capital management condition through the analysis.
由于城市商业银行在资本构成、资本充足程度以及风险资产的结构与质量等方面与新协议的要求尚有差距,必须通过分析对比自身资本管理状况,提高资本充足率和风险管理水平,才能完善资本管理制度。
4) risk asset
风险资产
1.
Dynamic analysis for risk assets portfolio;
有风险资产投资组合动态分析
2.
The security portfolio model is discussed as the sum of the risk asset weightings not equal 1.
讨论各个风险资产的权重之和不等于 1的风险资产投资组合模型 :(M) m in 12 ′φs。
6) risk assets
风险资产
1.
Under the uncertainty of the investor′s return of risk assets,an optimal portfolio investment model ia obtained is obtained.
在投资者的风险资产的收益不确定的条件下,给出了最优资产组合选择的投资模型。
补充资料:风险投资的风险
风险投资的风险是指投资活动中人们不希望的后果出现的潜在可能性。
说明:补充资料仅用于学习参考,请勿用于其它任何用途。
参考词条