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liquidity risk

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liquidity risk是什么意思
英式音标:[liˈkwiditi risk]英式读音
美式音标:[lɪˈkwɪdɪti rɪsk]美式读音
词汇分类:CFA一级必备词汇,CFA & Comprisal VOJ
词义:

释义

流动性风险,流动风险;

英英释义

Liquidity risk

In finance, liquidity risk is the risk that a given security or asset cannot be traded quickly enough in the market to prevent a loss (or make the required profit).

以上来源于:Wikipedia

用法:

双语例句

While most of the closed-end funds in our country are in discounted presently, and the open-end funds have higher deal cost and higher liquidity risk than the closed-end ones.
而我国目前上市的封闭式基金大多存在折价现象,而且与封闭式基金相比,开放式基金有着较高的交易成本和较高的流动性风险。

This loan duration mismatches of banks to easily create liquidity risk, and securitization of housing loans is an important means to resolve liquidity problems.
这种存贷款期限不匹配的情况很容易给银行造成流动性风险,而住房贷款证券化正是解决流动性问题的重要手段。

权威例句

Liquidity Risk and Expected Stock Returns

...viral v. - Asset pricing with liquidity risk ☆

Liquidity Risk and Expected Stock Returns

Liquidity Risk, Liquidity Creation and Financial Fragility: A Theory of Banking

Debt Maturity Structure and Liquidity Risk

Asset Pricing with Liquidity Risk

Debt Maturity Structure and Liquidity Risk

Momentum and post-earnings-announcement drift anomalies: The role of liquidity risk ☆

LIQUIDITY RISK AND CONTAGION

Liquidity risk and contagion
造句:

1. Investors naturally want to be compensated for this, so market liquidity risk increases the required return.

投资者自然需要为此得到补偿,所以市场流动性风险增加了投资者的要求收益。

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2. In some sectors, like emerging markets, it is easier for investors to buy and sell an ETF than to trade in the underlying illiquid assets. But the liquidity risk has not gone away.

在某些领域(比如说新兴市场),投资者买卖交易所交易基金就要比做相关的非流动资产简单,但是流动性风险并没有消失。

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3. The bigger the role that central Banks have in offering liquidity support, the less commercial Banks need to worry about their liquidity risk-which is why tougher regulation of liquidity is required.

央行提供对流动性支持的作用越大,商业银行就越少需要担心它们的流动性风险- - - - -这就是为什么需要对流动性的规管应该更严格。

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4. It is trickier to limit liquidity risk, which depends on the willingness of others to trade in markets.

限制流动性的风险可能就更需要技巧,因为这种风险取决于其他人有多意愿在市场上进行交易。

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5. While these Banks' deposit funding means their liquidity risk is low, they may struggle to find local assets suitable to hold in their liquidity buffer based on Basel definitions.

而这些银行的存款资金意味着他们的流动性风险低,他们竭力发现基于巴塞尔协议定义的适合缓解流动性所持有的本地资产。

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6. But the liquidity risk has not gone away.

但是流动性的危机并没有就此消失。

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7. Funding liquidity risk is the risk that a trader cannot fund his position and is forced to unwind.

资金流动性风险即是交易者无法聚积现金并且强迫平仓的风险。

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8. This market illiquidity, and the prospect of further liquidity risk, scared investors and prices dropped, especially for illiquid assets with high margins.

市场流动性降低以及更大的市场流动性风险预期令投资者恐慌,资产价格下降,尤其使流动性资产保证金大幅增加。

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9. The scale of the TSLF raises concerns that the Fed, in its attempt to reduce liquidity risk, is taking on too much credit risk.

定期证券借贷安排的规模引起人们开始关注,美联储在采取行动减少流动性危机的时候,却冒着很大的信贷风险。

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10. Liquidity generally varies over time and across markets, and currently we are experiencing extreme market liquidity risk.

一般来说,流动性在时间与市场间是变化的,目前我们正在经历较为严重的市场流动性风险。

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11. He worried more than most about liquidity risk, the danger of cash-flows and funding drying up (which many financiers ignored at their peril in the last boom).

他不仅担心流动性风险,资金流危险和资本枯竭(这些是许多银行家在上个繁荣时期所忽略的)。

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12. Since market liquidity may deteriorate when you need to sell in the future, investors face market liquidity risk as discussed above.

而当投资者准备未来某时出卖手中证券的时候现今市场的流动性就会产生恶化现象,那么对于投资者来说就面临着市场流动性风险。

youdao

13. Liquidity risk and asset prices.

流动性风险与资产价格。

youdao

14. Turner also called for greater emphasis on liquidity risk, more wide-ranging stress tests and a clampdown on non-bank financial institutions.

Turner还呼吁更重视流动性风险,开展更大范围的压力测试,并严格监管非银行金融机构。

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15. Market spreads taking account of credit and liquidity risk had arguably become too compressed pre-August 2007, and are now wider than they should be long-term.

计算了信贷风险和流动性风险的市场差价在2007年8月份之前被过分压缩了,尽管这个观点尚有争议。而现在的市场差价却高于合理的长期水平。

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16. Liquidity risk and the current crisis: downward liquidity spirals.

流动性风险与当前的次贷危机:向下流动性螺旋曲线理论。

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17. We are experiencing extreme market and funding liquidity risk.

我们目前正在经历严重的市场与资金流动性双重风险的考验。

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18. Banks make their profits from bearing liquidity risk (holding on to long-term pledges that cannot easily be sold), as well as from credit risk (the danger that such promises may not be kept).

银行通过承担流动性的风险(需长期持有不容易卖出的抵押品)以及信用危机(还款承诺可能无法实现的危险)来获得利润。

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19. In addition, the staff engaged in liquidity risk management needs to think more in their daily work, and constantly improve their business level and comprehensive quality.

此外,从事流动性风险管理工作的员工需要在日常的工作中多思考,不断提升自己的业务水平和综合素质。

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20. This risk may comprise both credit and liquidity risk.

这种风险可能包括信用风险和流动性风险。

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21. Two is the establishment of liquidity risk management effectiveness of the periodic evaluation mechanism.

二是建立流动性风险管理效果的定期评估机制。

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22. Third kinds of liquidity risk under the pressure of a comprehensive assessment and the development of coping strategies.

第三种对压力情景下的流动性风险进行全面评估并提前制定应对策略。

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23. So markets should put worries about traditional questions on the economy and the EU to one side and turn their focus instead to guarding against the gross underpricing of liquidity risk.

因此市场应该将对传统的经济和欧盟问题的担忧搁置一边,将注意力转向防范对流动性风险的普遍低估。

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24. Besides market risks, Goldman also assesses credit risks, based on whether a counterparty might default on a loan or fail to honour a derivative contract, and liquidity risk.

除了市场风险,高盛也评估业务相对方拖欠贷款或衍生合同违约所带来的信用风险,以及流动性风险。

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25. Regulators should develop and implement procedures to ensure that financial firms implement policies to better manage liquidity risk, including by creating strong liquidity cushions.

调控者应当采取措施确保金融机构能够更好应对资金流动性风险,包括创造出强劲的流动资金作为支撑。

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26. The second part is the analysis of liquidity risk of open-end fund.

第二部分是开放式基金流动性风险分析。

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27. Commercial bank's financial risk generally includes credit risk, market risk, liquidity risk, operation risk, legal risk and policy risk.

商业银行的金融风险一般包括信用风险、市场风险、流动性风险、操作风险、法律风险和政策风险。

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28. Asset-liability mismatch risk, liquidity risk and margin risk are among the ten potential risks currently focused by the CIRC.

资产负债错配风险、流动性风险及利差损风险也正是目前保监会聚焦的行业十大潜在风险之一。

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29. Asset-liability mismatch risk, liquidity risk and margin risk are among the ten potential risks currently focused by the CIRC.

资产负债错配风险、流动性风险及利差损风险也正是目前保监会聚焦的行业十大潜在风险之一。

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liquidity risk

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