中英
投资组合的风险
  • 翻译

Portfolio risk

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  • 专业释义
  • 1

    经济学

    • portfolio risk

  • 双语例句
  • 原声例句
  • 1
    那些资产组合风险比较集中银行可以通过将资产卖给其他投资者来降低风险。
    Banks that have concentrations of risk in their portfolios can reduce them by selling assets to other investors.
  • 2
    存在丰富关于现代投资组合概念和基于风险方法的文献和知识,软件项目经理可以加以利用以增强他们的管理方法。
    There is ample literature and knowledge on modern portfolio concepts and risk-based approaches that software project managers can draw upon to enhance their management methods.
  • 3
    风险投资组合加权平均偿还期,考虑到所有提前偿付的抵押贷款、卖权和可调整债券。
    A weighted average of the maturities of the bonds in a portfolio, taking into account all mortgage prepayments, puts, and adjustable coupons.
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