secondary risks 中文意思是什麼

secondary risks 解釋
次級風險
  • secondary : adj 1 第二(位)的,第二次的;中級的 (opp primary)。2 副(的);從屬的;附屬的;輔助的;補充的...
  • risks : 風險
  1. Finally, the author analyzes the risks in securitization and proposes that the first market of housing mortgage loan must be perfected in order to develop the secondary market

    在此基礎上,得出的結論是防範此業務中的風險應完善和規范住房抵押貸款一級市場,積極培育發展住房抵押貸款二級市場的配套的外部環境。
  2. With this the " two - edged - sword " effect of the one - and - a - half market is made clear : at one hand, it results in capital divergence, higher holding cost and greater price risks, thus interfering with the regular operations of the primary and secondary markets

    無形市場中,股份的原始持有者作為賣方,買方則為實力較強的機構,雙方存在較大的供求矛盾。因此,市場中應運而生通過集散信息、聯系供求以賺取差價或手續費用的「黃牛」 。
  3. The secondary risk is the reinvestment risk - if the bank exercises the right to repay the deposit before maturity, the depositor will cease to enjoy the enhanced interest, and reinvestment of the deposited amount may result in higher risks or lower returns than that would have been applied to the deposit had it not been repaid

    此外,另有再投資風險。若本行在存款到期前行使權利贖回存款,及后存戶將停止獲享優厚利息,于再投資時,風險有機會增加,而回報亦有機會低於此存款不被贖回時可得的利息收益。
  4. The third chapter first describes the operating mechanism of private funds, then focuses on practical methods to control the risks involved. comparatively speaking, china ' s private funds do n ' t have as many investment tools as their foreign counterparts and they mainly operate in the secondary stock market. as a result, the risks private funds confront are tremendous : private funds in china have no legal status, which indicates that the fund contract ca n ' t get proper legal protection ; the stock market has been far from perfect so that private funds have inadequate instruments to avoid risks ; the listed companies participating in private funds are vulnerable to risks ; private funds investors also confront the risks of unexpected policy change

    我國的私募基金與國外相比,運作方式較為單一,主要在二級市場操作,大部分依靠作大成交量,獲取券商返還傭金來獲取收益,以跟莊、鎖倉、聯合坐莊為主要投資策略,以中線持股、波段炒作為主要戰術,這就決定了我國私募基金面臨著巨大的風險:我國私募基金沒有合法地位,基金契約合同不受法律保護;證券市場品種單一,沒有避空機制,期權、期貨等金融衍生工具甚至根本不存在;上市公司參與私募基金引致巨大風險;由於目前國家對私募基金的立法沒有正式出臺,投資者還面臨著政策調整的風險。
  5. For the transfer of a financial asset in which the secondary equities are retained or a credit guaranty is given for upgrading the level of credit, if the transferor only retains partial ( not nearly all of ) the risks and rewards related to the ownership of the transferred financial asset and may control the transferred financial asset, it shall recognize the relevant asset and liability according to the extent of its continuous involvement in the transferred financial asset

    (三)在採用保留次級權益或提供信用擔保等進行信用增級的金融資產轉移中,轉出方只保留了所轉移金融資產所有權上的部分(非幾乎所有)風險和報酬且能控制所轉移金融資產的,應當按照其繼續涉入所轉移金融資產的程度確認相關資產和負債。
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