72 percent could descriped described the rate risk and possible rewards on living of leaving a job for more education 的学生可以描述为了进一步学习而离职带来的风险和回报。
The publication of the composite interest rate is to help improve interest rate risk management in the banking sector 公布综合利率的目的,是协助银行体系改善利率风险管理。
The first part is a theoretical analysis for the interest rate risk management , which includes four chapters 第一部分,是对商业银行利率风险管理的一个理论分析,共分为四章。
At present , the regulation and management of interest rate risk is still a weak respect for us 然而从目前情况看,利率风险的控制和管理在我国理论界和实务界一直是一个薄弱环节。
Readers are aware of the recent reminder we issued on the market and interest rate risks of banks holdings of debt securities 读者都知道我们最近便提醒银行注意持有债券的市场及利率风险。
It analyses the method used by western commercial bank about how to recognize , measure and manage the interest - rate risk 对西方商业银行利率风险的识别、度量及管理方法进行了全面的分析。
The interest rate risk is classified into embedded risk , reprcing risk , yield curve risk and basis risk 利率风险主要包括潜在选择权风险、重新定价风险、收益曲线风险和基本点风险四种形式。
Should recent capital inflows reverse suddenly , the banking system will face a challenge in managing its interest rate risk 若近期流入的资金突然逆转,银行体系将要面对利率风险管理的挑战。
As a tool for banks to manage their interest rate risks . but it is still for the banks to determine their own interest rates ,以供银行管理利率风险参考之用,但厘定息率仍纯属银行本身的决定。
In finance, rate risk is the risk of losses caused by interest rate changes. The prices of most financial instruments, such as stocks and bonds move inversely with interest rates, so investors are subject to capital loss when rates rise.