• Diversification - By owning shares in a mutual fund instead of owning individual stocks or bonds, your risk is spread out.

    多元化-拥有共同基金股份比起单独拥有股票或者债券来说,你的风险被分散了。

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  • Never has the diversification of risk been so easy.

    风险多样化从未如此简单。

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  • Part of that increase would be due to the loss of genuine benefits from risk diversification.

    成本上升的原因在于之前的定价没有体现风险分散的真实收益。

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  • Geographic diversification was supposed to reduce risk.

    地域多元化原本是为了降低风险。

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  • Diversification was just an illusion - unfortunately it is hard to diversify rampant fraud risk linked to loan originators and borrowers.

    资产多元化只是个假象,不幸的是,要把贷款发起人和借款人带来的违约风险分散是很难的。

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  • Diversification: the reduction of risk achieved by replacing a single risk with a large number of smaller unrelated risks.

    多元化:通过用大量不相关的小风险代替一种风险来降低风险。

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  • The conventional methods of managing credit risk, such as diversification, bank loan sales, and asset securitisation, offer only a partial solution to controlling credit risk exposure.

    传统的信用风险管理办法,例如分散化,银行贷款出售和资产证券化,只提供了控制信用风险暴露的部分办法。

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  • When a corporation has more business diversification, its business performance risk declines and business operation risk rises.

    随着企业多角化程度的提高,企业经营业绩风险下降而经营能力风险上升。

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  • Your choice of service will depend primarily on the degree of risk diversification you require and the extent to which you wish to participate actively in the investment decision-making process.

    您对服务的选择,将首要取决于您所要求的不同风险等级,以及您希望在投资决策进程中积极参与的程度。

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  • To analyze the industry and management risk, Standard and Poor company think that the focal points assessed are in industry risk, diversification and scale, and management performance.

    在进行行业经营风险分析时,标准普尔公司认为,评估的重点是在产业风险、多样化与规模和管理绩效这三方面。

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  • Postponement manufacturing as an advanced mode of production technology in the 21st century is expected to reduce the risk of product diversification.

    延迟生产作为21世纪一种先进的生产方式,是为了减少预计的风险,适应产品多元化生产而采用的一种技术。

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  • For many Chinese enterprises, the result of the irrelevant diversification is not ideal. The main reason is lacking the essential acquaintance with its risk.

    我国许多企业在进行非相关多元化经营时,其效果都不太理想,原因之一便是对其可能存在的风险缺乏必要的认识。

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  • Financial instruments are risk diversification instruments, nevertheless, they are big sources of risks too.

    金融工具既是重要的避险工具,同时又是巨大的风险源。

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  • When unrelated diversification, the target industries are always to be "high tempo, high risk" ones.

    非相关多元化选择的目标产业一般都是“高增长、高风险”的一些行业。

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  • The restriction of various seismic forecasting methods and diversification of seismic explanation increased the risk apparently due to the lack of well data.

    在井资料缺乏的情况下,地震资料的多解性以及各种地震预测方法的局限性就愈加明显地提高了预测的风险性。

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  • They don't need the entire market to be bargain priced, just 20 or 25 unrelated securities—a number sufficient for diversification of risk.

    他们无需进入廉价证券的整个儿森林,哪怕只抓住20或25支没有关联关系证券的树木——对于风险分散来说这个数目也就够了。

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  • The data seems to indicate that these lower-risk loans have a lower point of diversification (read this).

    这些数据似乎表明,这些低风险的贷款,有一个较低的多样化点。

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  • Comparing consideration level, absolute level is thought as a developing banking tool, with two functions: financial leverage and diversification of risk.

    应从绝对水平和相对水平两方面比较对价水平的高低,作为一种金融衍生工具,权证具有财务杠杆和风险对冲两大功能。

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  • This paper studies the main types of risk and its factors in the irrelevant diversification operation in order to supply reference for enterprise decision making.

    从理论上分析了企业在进行非相关多元化时存在的主要的风险类型及影响各类风险的因素,以期为企业决策提供依据。

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  • On the other hand, it can reach the target of risk diversification and economy of scale when it takes the advantage of associated companies' specific business.

    另一方面,它又可以通过综合不同子行业的优势来达到分散风险、规模经营的目的。

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  • Financial services: Abide by the principle "Risk diversification, Future hedge", we set up a high-quality trading platform, USES financial derivatives for commodity hedging and arbitrage services.

    金融服务遵循“分散风险、套保结合”原则,公司搭建了高质量的交易平台,利用金融衍生工具,为大宗商品现货提供保值和套利服务。

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  • Then the diversification benefit would be visualized by comparing the efficient frontier and domestic stock index 's risk-return point on the return-variance plane.

    通过比较该有效组合边界与国内股票指数在回报-方差平面上所处的位置,可以判断股票投资组合国际化的效应。

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  • Then the diversification benefit would be visualized by comparing the efficient frontier and domestic stock index 's risk-return point on the return-variance plane.

    通过比较该有效组合边界与国内股票指数在回报-方差平面上所处的位置,可以判断股票投资组合国际化的效应。

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