IMF认为,金融市场各类资产的波动继续大步向低水平迈进,风险价差(risk spread)缩窄。对于下行风险,投资者未给予充分重视,简单地认为低风险将永远主导金融市场。
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...交易之过程中,SPR公司通常为锁定债券发行时所承诺支付的利率【一般为伦敦银行同业拆款利率(LIBOR)加上风险利差(risk spread) 】中之LIBOR,一般均会在利率市场上进行利率交换,借以锁定LIBOR来避免短期投资组合报酬低于LIBOR之损失风险。1
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... interest rate spread risk 利率风险 risk spread 风险价差 ; 风险息差 ; 风险利差 Limited Risk Spread 有限风险套利 ...
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Limited Risk Spread 有限风险套利
risk spread mechanism 风险分散机制
mechanics of risk spread 风险传导机制
spread risk 分散风险 ; 差风险
Credit spread risk 信用价差风险 ; 利差风险 ; 信用风险差风险溢价
interest rate spread risk 利率风险
Spread the risk 分散风险
spread a risk 扩大风险
spread-risk model 收益率差
The so-called derivative financial instruments have made the risk spread all over the world.
所谓的金融衍生产品把美国次贷风险扩大到了世界各国。
The international insurance market is an extension of the trading relationship between countries and the global exchanges of insurance businesses for the sake of risk spread as well.
国际保险市场既是各国保险交易关系在国际间的延伸,又是世界范围内谋取风险广泛分散的各类保险交换关系的总体。
The risk of spread increases where there is a high concentration of TB bacteria, such as can occur in closed environments like overcrowded houses, hospitals or prisons.
在结核细菌含量高的情况下,传播的风险增加,例如可发生在过度拥挤的住房、医院或监狱等封闭的环境中。
It found that their lack of complex products like futures and derivatives limits the ability to spread risk.
VOA: special.2009.12.11
Anytime there's a risk that hits one person or one country the financial markets would spread it out over everybody and it gets very small.
如果有风险袭击一个人或者一个国家,金融市场就会将风险分摊到所有人身上,风险就变得微乎其微。
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