risk-weighted assets 中文意思是什麼

risk-weighted assets 解釋
風險加權資產
  • 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...
  • assets : (資產):企業所擁有的資源。
  1. Investors seem to pay closer attention to more cautious capital measures such as the leverage ratio, which does not allow for any risk - weighted adjustment to assets

    看起來,投資者開始關注像杠桿率這樣的謹慎資金措施,杠桿率不允許任何資產中出現風險加權調節。
  2. Risk - weighted assets

    風險加權資產
  3. They must keep twice the share of risk - weighted assets as reserves that they did four years ago, 12 % compared with 6 %

    銀行業必須持有兩倍於四年前的風險加權資產儲備( 12 %對比6 % ) 。
  4. Ubs, a swiss bank, has seen its tier - one ratio ( which divides a bank ' s risk - weighted assets by its core capital ) fall from 12. 3 % at the end of the second quarter to 10. 6 %

    瑞士聯合銀行眼看著自己的第一級比率(第一比率是風險加權資產和核心資金的比率)從第二季度末的12 . 3 %降低到10 . 6 % 。
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