违约风险如何呢?
Default risk is systematic risk.
违约风险是系统性风险。
Higher rates often signal higher default risk.
收益率更高通常是违约风险更高的信号。
In China, most of loan guarantors are of default risk.
在中国,绝大多数的贷款担保人有违约风险。
In fact it means only a slight increase in long-term default risk.
事实上,这只意味着在长期违约风险略有增加。
Germany's sovereign debt default risk hedging costs have increased.
对冲德国主权债务违约风险的成本已经上升。
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;
This policy setting allows you to manage the default risk level for file types.
此策略设置允许您管理文件类型的默认风险级别。
There is no the quantitative analysis on the default risk of the corporate bond.
而对于违约风险定量分析并给出包含违约风险的公司债券定价研究还很少。
The default risk increases 6.76 times for borrower with FICO Score of 664 versus 829.
信用得分为664的借款人相比得分为829的借款人其违约风险增长了6.76倍。
The measures he took helped to convince investors that his country was not a potential default risk.
他采取的措施有利于他让投资者确信他的国家不是一个有着潜在违约风险的国家。
Modeling correlated default risk is a new phenomenon currently sweeping through the credit markets.
对相关违约风险进行建模,在当前是风卷信用市场的一种新现象。
This data is used to forecast the default risk over the next 12 months and typically updated monthly.
此数据用于预测未来12个月的违约风险情况,通常每个月更新一次数据。
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。
The default risk with incomplete information in the sense of uncertain true corporate value was analyzed.
研究关于真实公司价值不确定意义下的信息非完全时违约风险的评估。
Yet, inexplicably, they do not contain the information about individual loans that is needed to detect default risk.
然而,让人无法理解的是,它们没有包括查明违约风险的个人贷款的信息。
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。
Lenders are now focused on lending strategies that meet their profitability objectives rather than just default risk.
比起违约风险,如今贷款方更加注重能满足他们盈利目标的贷款战略。
In other words, changes in default risk were expected to affect the equity and mezzanine tranches in stable proportions.
换言之,预期违约风险变动的影响,股票和债券夹层稳定程度。
As debtor's default risk, credit risk has become the uppermost risk of the economic and financial system in our country.
作为债务人可能违约的风险,信用风险已成为我国经济及金融系统中最主要的风险。
Huge amount of debts leads to debt repayment difficulties, default risk isan important cause of the debt crisis broke out.
债务数额巨大导致债务偿还困难,出现违约风险,是债务危机爆发的重要原因。
By the way, so does Britain, whose deficits and debt are comparable to Spain's, but which investors don't see as a default risk.
顺便要说的是,英国的财政赤字和债务跟西班牙相当,但投资人并不认为存在违约风险。
For these reasons Banks should be encouraged to consider more seriously the liquidity of their loans as well as their default risk.
因为这些原因,因此它鼓励银行应该更慎重的考虑它们的贷款的流动性,以及违约风险。
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?
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,。。。
In theory this trade should not be sustainable in the longer term; the higher yields should merely compensate investors for the default risk.
理论上,这种交易长期来看是不可持续的,高收益只不过是为违约风险的投资者做补偿。
In a study last year, the International Monetary Fund concluded that ratings were a reasonably good indicator of sovereign-default risk.
去年国际货币基金组织执行的一项研究表明,评级是衡量主权违约风险的较好指标。
In a study last year, the International Monetary Fund concluded that ratings were a reasonably good indicator of sovereign-default risk.
去年国际货币基金组织执行的一项研究表明,评级是衡量主权违约风险的较好指标。
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