position risk

基本解释市场风险,头寸风险

网络释义

1)position risk,市场风险;头寸风险2)market risk,市场风险3)risk market,风险市场4)market risks,市场风险5)Marketobility Risk,市场性风险6)Value-at-Risk (VaR),市场风险值

用法和例句

Analysis market risk of PVC through prosperity period;

从景气周期看聚氯乙烯市场风险

The study of financial market risk measurement by VaR model;

用VaR模型计量金融业市场风险的研究

Analysis of telecommunication products market risk of China mobile corporations;

国内移动运营商电信产品市场风险分析

On basis of the theory of agricultural products market risk earlywarning by supply and demand theory, the loss earlywarning of agricultural products and the symptoms of the market risks earlywarning of agricultural products were analyzed and discussed.

本文以供求理论为农产品市场风险预警的理论基础,分析讨论了农产品的亏损预警和农产品市场风险预警警兆。

However,the prosperous surface cannot cover the three types of risks,namely,policy risks,market risks and credit risks.

电视剧投融资渠道的扩展,促进了电视剧生产制作的繁荣,但繁荣的表面无法遮蔽无处不在的政策风险、市场风险与信用风险。

The increasing volatility in the world finance and economy means that managing market risks becomes a tougher task for commercial banks.

随着国际经济金融动荡的加剧,商业银行面临的市场风险管理难度也逐渐加大。

Intermarket Risk Management Committee

市场风险管理委员会

Market risk and credit risks: Paradox existing in risk management;

市场风险与信用风险:风险管理中存在的悖论

A Study of the Integration of the Credit Risk and the Market Risk Facing Banks;

银行业信用风险与市场风险整合研究

Research on the Application of VaR Model in the Risk Management of Financial Maprket;

Var风险模型在金融市场风险管理中的应用研究

The Application of VaR Model in the Risk Management in China Stock Market;

风险价值法在我国证券市场风险管理中的应用

The Research of Risk Management of Derivative Market Based on Case Studying;

基于风险案例的衍生品市场风险管理研究

Measurement of the Market Risks of Fixed Income Bonds With VAR;

用风险价值度量固定收入债券的市场风险

Identifying and Covering the Interest Rate Risk and Market Risk of the Treasury Bonds;

国债利率风险与市场风险的识别与规避

VaR Method and Its Application for Finance Market Risk Measurement;

金融市场风险测量的风险价值方法及其应用

The Application of the Risk Value Method in the Investment Bank s Market Risk Management;

风险价值法在投资银行市场风险管理中的应用

Review of the Interaction of Market Risk and Credit Risk

重新审视危机后的信用风险和市场风险相关性

Measuring Risk of Financial Markets: Based on Extreme Spectral Risk Measures

基于极值谱风险测度的金融市场风险度量

Study on integrated measurement of incorporating liquidity risk and market risk

流动性风险与市场风险的集成度量方法研究

The Empirical Analysis on Risk of Stock Market of Agriculture Listed Companies;

农业上市公司股票市场风险实证研究

The Study of Real Estate Market Risk in Guangzhou Based on VaR;

基于VaR的广州市房地产市场风险研究

La-VaR Portfolio Risk Management Based on the Correlation between Market Risk and Liquidity Risk;

考虑市场风险与流动性风险的La-VaR资产组合风险管理

Extremal Dependence between Return Risk and Liquidity Risk:An Analysis for the Shanghai Stock Market;

上海股票市场流动性风险与市场风险的极值相关分析

Stock Index Futures market s risk analysis and risk control;

股指期货市场的风险分析及风险控制

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