Risk analysis refers to the impact on systematic risk of the finance.
风险分析是指资产证券化对金融系统风险的影响。
参考来源 - 资产证券化理论和实践研究·2,447,543篇论文数据,部分数据来源于NoteExpress
以上来源于: WordNet
Default risk is systematic risk.
违约风险是系统性风险。
There are three forms in this systematic risk.
这种体制风险有三种表现形式。
It is an effective financial tool as systematic risk safeguard.
股指期货是一种能够有效地防范系统性风险的金融工具。
We're not going to do that in a Robin Hood way, but in finance we're going to do that in a systematic way through risk management.
我们不能像罗宾汉那样来达到那样的目的,但在金融领域,我们将通过,系统的风险管理来实现
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