Putting It All Together: Your Risk tolerance.
将它们放在一起:你的风险容忍度。
Risk tolerance is documented in the Risk Management Strategy.
风险容许偏差应当记录在风险管理战略中。
Each investor is different in his or her objectives and risk tolerance.
每个投资者的目标和抗风险能力是不同的。
Risk tolerance is equal to Frankenstein, caution can be safe and sound.
容忍危险等于作法自毙,谨慎行事才能安然无恙。
There was also a negative association between worry and risk tolerance.
也有担心和风险承受能力之间的负相关性。
It's impossible for someone to assess their risk tolerance alone, "says Mr. Bernstein."
“这是不可能有人,以评估其风险承受能力,仅说:”先生,伯恩斯坦。
Frame dependence is a concept that refers to the tendency to change risk tolerance based on the direction of the market.
框架依赖这一概念指出风险承受力是随着市场变化趋势而改变的。
Some wealth managers also assume women have a low risk tolerance, and therefore give them less choice, the respondents said.
这些受访者表示,一些理财经理还先入为主地认为妇女的风险承受力低,因此只向她们提供较少的理财选择。
Risk tolerance varies by individual, and it is a good idea to factor this into determining the compensation plan for the founders.
每个人的风险容忍度不同,所以最好将这些包含进创始人报酬计划当中。
Ethical culture: the one high in risk tolerance, low to moderate in aggressiveness, and focuses on means as well as outcomes.
在很大程度上容忍冒险,很少去节制进取,注重方法也注重结果。
It is very important that strengthen regulation on the abilities of risk tolerance, especially the capital of futures companies.
因此,加强对期货公司风险承受能力的监管,尤其是加强期货公司资本的监管就显得非常重要。
The risk tolerance and meritocratic ethos of Silicon Valley financiers provided extraordinary opportunities, especially for foreigners.
硅谷金融家们的风险容忍度和精英管理精神提供了一些非凡的机会,特别是为那些外国人。
The models express views in their "purest" form, they are then adapted to reflect individual fund restrictions and risk tolerance.
这种模型以一种最纯粹的形式表达了他们的看法。它们随后会根据具体的基金限制和风险容限而加以修改和完善。
Financial Numeracy, Net Worth, and Financial Management Skills: Client Characteristics That Differ Based on Financial Risk Tolerance.
财务算术,净值,财务管理技能,财务风险承受能力外文翻译。
This covers some relevant questions yet places too little weight on leverage, risk tolerance or quality of risk-management oversight.
这其中却忽视了一些万分重要的问题,比如风险承受技能,或者风险管理监督的质量。
Individual countries have different perceptions on risk exposure and risk tolerance, and are willing to pay different amounts for insurance.
各国对风险敞口和风险承受力的看法不同,而且对国际收支安全的需求程度也存在差异。
As with FXI and PGJ, EWA and FXA have options contracts, which give investors with a higher risk tolerance the opportunity to short with leverage.
因为和FXI、PG J基金一样,EWA和FXA基金也有期权合约,这就赋予了投资者用杠杆去做空的机会并且可以容忍很高的风险。
If you are trading the exact same number of shares or contracts on every trade, you may not be calculating the proper trade size for your own risk tolerance.
如果你在每次交易时都做相同的合约量或数量,你就不必计算合适的交易头寸来避免风险。
Very few banks and dealing firms want to take positions, risk tolerance is low. In the words of one colleague 'no one is going to take on this market', " Cooper said.
凤毛麟角的银行及交易公司会在目前的局势中抢占位置,毕竟目前大家对风险的耐受性太低了。
Intensified in the sub-prime crisis, is sweeping the global economy and financial system, also becoming a test of the world's financial system and risk tolerance.
愈演愈烈的次贷危机,正席卷着全球的经济和金融体系,也同时考验着各国金融体系的风险承受能力。
The cognitive processes associated with decision-making and risk tolerance are a function of brain neurochemistry and of the neurotransmitter dopamine, in particular.
和决策、风险承受力有关的感知过程是大脑神经化学的一项功能、确切地说是神经传递素多巴胺的一项功能。
Results show that in two situation both absolute and standard difference, fund size, risk tolerance of investors can not fully explain the movement of the stock market;
结果表明,在绝对差别与标准差别两种情况下,基金规模、投资者的风险容忍度不能充分解释股票市场的流动性,与股票市场波动性的关系不显著;
Wages in the construction of the concept of risk tolerance, the use of a combination of qualitative and quantitative methods to assess the risk of the construction of Wages.
在阐述建筑欠薪风险的容忍度概念之后,运用定性和定量相结合的方法对建筑欠薪风险进行评估。
The strategy is sensitive to the manager′s risk tolerance, the asset volatility rate and the liquidity coefficient, but it is insensitive to the security excess return rate.
最优策略对管理者的风险厌恶程度、资产波动率和流动性系数较为敏感,而对证券超额收益率敏感程度较低。
The strategy is sensitive to the manager′s risk tolerance, the asset volatility rate and the liquidity coefficient, but it is insensitive to the security excess return rate.
最优策略对管理者的风险厌恶程度、资产波动率和流动性系数较为敏感,而对证券超额收益率敏感程度较低。
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