capital at risk meaning in English
风险资本
Examples
- The third part introduced the effect about the management and distribute on capital at risk
第三部分介绍了经济资本管理及其分配在风险控制中的作用。 - The amount of capital , taken on by each department , sub - bank or operation , should equal the risk it holds . the fourth part analyzes the puzzles we are encountering about management on capital at risk
各个部门、分行和各项业务存在多少风险,就应该分配等额的经济资本;各部门、分行和各项业务占用多少经济资本,就意味着承担了多少风险。 - ( var ) , and then measures capital at risk ( car ) which is used to resist the whole unexpected loss of the bank on the base of var of all risks , and correlates risk with income to calculate the risk adjusted return on capital ( raroc ) to evaluate the outstanding of banks
对所有风险采用统一的量化标准? ?受险价值var ,然后以所有风险的var值为根据测量用以抵御银行整体意外损失的风险资本car ,并把风险和收益联系起来计算资本的风险调整收益率raroc来衡量银行的经营业绩。 - In face of competition and challenge brought by foreign financial institutions after entering wto in 2006 , the commercial banks should focus on management on capital at risk , change the way of development , enrich the capital , and reach the 8 % capital adequacy which < basle accord > ordered
面对2006年银行业全面开放后外资金融机构进入中国市场所带来的竞争和挑战,商业银行更应该关注经济资本管理,转变业务增长模式,充实资本金,使之达到《巴塞尔协议》规定的8 %的资本充足率。