counterparty risk 中文意思是什麼

counterparty risk 解釋
交易對手風險
  • counterparty : 訂約方
  • risk : n 1 風險,危險;冒險。2 【保險】(損失的)風險(率);保險金額;被保險人,被保險物。vt 冒…的危險...
  1. They include : counterparty analysis of securities held, maturity profile of major balance sheet items, breakdown of loan categories, risk management policies, materiality of market risk arising from the trading book, capital adequacy ratio adjusted for market risk, and the year 2000 problem

    這些項目包括分析所持證券的發行人類別主要資產負債表項目到期情況風險管理政策因營業賬冊內的交易而承擔的市場風險是否屬于重大就市場風險調整資本充足比率以及公元二千年問題。
  2. The group also welcomed the measures and recommendations to improve counterparty risk management and to enhance disclosure by highly leveraged institutions and other large financial market participants

    該小組亦歡迎有關改善交易對手風險管理,並提高利用高杠桿比率運作的機構及其他金融市場大戶的透明度的措施及建議。
  3. Credit risk, also called default risk, is the distribution of financial losses due to unexpected change in the credit quality of a counterparty in a financial agreement. its range includes agency downgrades, failure to service and liquidation

    信用風險,又稱違約風險,是指由於金融合同中訂約方信用品質的不可預測改變而引起的損失,包括信用降級、不能支付債務和清算。
  4. 16. from the private sector, the counterparty risk management policy group formed by twelve leading international financial institutions produced a report in june 1999

    16 .私營機構方面,由12家主要國際金融機構組成的交易對手風險管理政策小組counterparty risk management policy group在1999年6月發表了一份報告。
  5. Improving counterparty risk management

    改進交易對手風險管理。
  6. Five major hedge funds also produced an industry group report in february 2000 on improving counterparty risk management and internal control

    5家主要對沖基金也在2000年6月就加強交易對手風險管理及內部管制發表業內小組報告。
  7. On the strengthening of the international financial system, governors noted the progress made in various international fora to enhance transparency and disclosure as well as to improve counterparty risk management

    在鞏固國際金融體系方面,行長們聽取了多個國際論壇在提高透明度和增加披露資料以及改善交易對手風險管理方面進展的報告。
  8. 22. i have mentioned two approaches, that of enhanced counterparty risk management and improved transparency and disclosure, which will hopefully help to address the concerns on excessive leverage and on opaqueness of hlis

    22 .我在上文提過的兩個方法,分別是加強交易對手風險管理和提高透明度與增加披露資料,相信能解決有關過度借貸及高杠桿機構透明度不足的問題。
  9. Toward greater financial stability : a private sector perspective. the report is the product of intensive work by the counterparty risk management policy group ii a group of private sector practitioners of leading wall street houses

    這份報告在今年7月底面世,是由一批來自華爾街主要金融機構的市場人士組成的交易對手風險管理小組ii counterparty risk management policy group ii努力的成果。
  10. Thus the constraint of bilateral counterparty trading limits becomes much less of an issue with the elimination of herstatt risk

    。此外,由於赫斯特風險得以消除,對交易對手實行雙邊買賣限度的需要便大為減少。
  11. Lessening of the constraint of bilateral counterparty trading limits with the elimination of risk ; and

    由於消除了有關風險,可減低對雙邊交易對手的交易限額的限制;及
  12. The fund is also subject to the credit risks of the guarantor and the option counterparty as well as the liquidity risk of the underlying investment of the fund

    投資附帶風險。投資本基金亦需承受保證人及期權交易對手的信貸風險,以及基金的相關投資的流通量風險。
  13. Each of the sub - funds is also subject to the credit risks of the guarantor and the option counterparty as well as the liquidity risk of the underlying investment of each of the sub - funds

    投資附帶風險。投資每個成份基金亦均需承受保證人及期權交易對手的信貸風險,以及基金的相關投資的流通量風險。
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