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金融创新风险
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  financial innovation risks
     Analyses of the Causation of Financial Innovation Risks
     金融创新风险的成因分析
短句来源
     On supervision of Financial Innovation Risks
     论金融创新风险的监管
短句来源
     New financial risks, namely financial innovation risks, appear during the process, which include inflation risk, management risk, electronic risk, international risk and so on.
     然而 ,金融创新在转嫁和分散风险的同时 ,也产生了新的金融风险 ,即金融创新风险 ,如通货膨胀风险、经营风险、电子风险、表外风险、投机风险、伙伴风险、国际风险及金融监管有效性风险等。
短句来源
     Chapterlll follows the examples of western commercial banks, especially the practical experience of risk management of American commercial banks, it has reviewed the commercial bank management of flowing risks, credit risks, interest risks, exchange risks and financial innovation risks, and studied the main methods of American commercial banks' credit risk management and the main countermeasures against derived risks from financial innovation process.
     第三章 西方商业银行风险管理的实证考察 以西方商业银行特别是美国商业银行风险管理的实践为重点,对商业银行流动性风险、信用风险、利率风险、汇率风险及金融创新风险的管理进行了考察,着重研究了美国商业银行管理信贷风险的基本做法,以及金融创新过程中金融衍生商品管理的主要风险防范措施等。
短句来源
  risk of financial innovation
     A Research on Risk of Financial Innovation
     金融创新风险的研究
短句来源
     The second part is model analysis on risk of financial innovation.
     第二部分,金融创新风险的模型分析。
短句来源
     The third part is the defense on the risk of financial innovation.
     第三部分,金融创新风险的防范。
短句来源
     During financial innovation process, the risk of financial innovation is a possibility which innovators' measures can't bring into effect rightly, or innovative incomes suffer loss.
     金融创新风险是金融创新过程中,创新供给主体的创新措施不能顺利实施或创新收益遭到损失的可能性。
短句来源
     Secondly, this part introduces VaR models on risk of financial innovation, including historical data simulation model, index shifting additive average model, mixed normal distribution model, ARCH model and Monte Carlo simulation model. Then, taking credit risk for example, this part demonstrates how to apply VaR model.
     其次,介绍了金融创新风险的VaR模型,即历史数据模拟模型,指数移动加权平均模型,混合正态模型,ARCH类模型,蒙特卡罗模拟模型这五种主要模型,并以信用风险为例,演示了VaR模型的具体应用。
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  “金融创新风险”译为未确定词的双语例句
     On Finance Innovation Risk of CDR and Its Avoidance —— With the Financial Law of Mainland and Hong Kong is Research Sample
     CDR的金融创新风险及其防范——以大陆、香港两地金融法为研究样本
短句来源
     Financial innovation risk refers to the probability of failure in implementing the innovations provided by the innovator in the process of financial innovation.
     金融创新风险,是指金融创新过程中创新供给主体的创新措施不能顺利实施或创新收益遭到损失的可能性。
短句来源
     Financial innovation can either be equated with great changes, or be looked upon as the process, in which innovative main body recombine financial facts.
     简言之,金融创新在给创新主体及社会带来一定收益的同时,也增加了一些新的风险,即金融创新风险
短句来源
     In a word,financial innovation brought some income for the innovation main body and society,and in the same time some new risk,that is the risks of financial innovation.
     金融监管领域的扩大、表外业务的复杂及其交易比例的增多、金融监管创新的滞后必然产生金融监管有效性风险。 金融创新风险源于金融创新的过程,然而我们不能因噎废食,停止或削弱金融创新。
短句来源
     Chapter 3 expanded to investigate the risks in financial innovation, pre-warning mechanism and special performances for China's commercial banks.
     第三章是对前章研究的扩展,重点探讨了金融创新的风险、预警方法以及我国现阶段商业银行金融创新风险的特殊性。
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The integration of international finance intensifies competition in the finance field. The financial innovation has become a new point of the profit increase, but it has also resulted in the great risks. This paper analyzes the risks probably brought about by the financial innovation from different sides, and proposes the administrative measures to reduce the risks of the financial innovation.

国际金融的一体化加剧了金融领域的竞争,金融创新成为金融业新的利润增长点,但金融创新也会产生很大风险。从不同角度分析了金融创新可能带来的风险,并提出了减小金融创新风险的管理措施。

The causation of financial innovation lies in the need of meeting the market challenges, of which the main purpose is to transfer financial risks. New financial risks, namely financial innovation risks, appear during the process, which include inflation risk, management risk, electronic risk, international risk and so on.

从金融创新的产生机理来看 ,金融创新是金融创新主体为了适应市场的不断变化而推出的 ,旨在转嫁和分散金融风险。然而 ,金融创新在转嫁和分散风险的同时 ,也产生了新的金融风险 ,即金融创新风险 ,如通货膨胀风险、经营风险、电子风险、表外风险、投机风险、伙伴风险、国际风险及金融监管有效性风险等。

Financial innovation risk refers to the probability of failure in implementing the innovations provided by the innovator in the process of financial innovation.The risks include:correct evaluation,appraisement and measurement of risks;rigorous supervision of market entry grant;sound system of information disclosure;guarantee of fair competition on the market;sound credit guarantee mechanism of market derivations;infra-structural facilities to supervise and urge exchange institutions to improve derived businesses;and...

Financial innovation risk refers to the probability of failure in implementing the innovations provided by the innovator in the process of financial innovation.The risks include:correct evaluation,appraisement and measurement of risks;rigorous supervision of market entry grant;sound system of information disclosure;guarantee of fair competition on the market;sound credit guarantee mechanism of market derivations;infra-structural facilities to supervise and urge exchange institutions to improve derived businesses;and close attention to domestic and international cooperation in supervising derived businesses. Besides,It is also necessary to properly handle three kinds of relationships while to watch against bad tendencies.

金融创新风险,是指金融创新过程中创新供给主体的创新措施不能顺利实施或创新收益遭到损失的可能性。金融创新风险监管机制的内容是:正确地评估和度量风险;实行严格的“市场准入”监管;建立健全信息披露制度;保证市场的公平竞争;健全衍生市场的信用担保机制;督促交易机构改善衍生交易的基础设施;重视衍生交易监管的国内与国际合作。还要处理好三个关系,防止两种倾向。

 
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