风险积累 meaning in English
accumulation of risks
Examples
- In this paper , var , the mainstream model of market risk measurement is introduced
.而对于市场风险积累程度的量化揭示正是var的主要任务。 - Because the volatility of asset price comes from the accumulation of the risk in finance system and almost all financial crises are related to excessive volatility of asset price , juding and explaining the volatility is always one of the focuses in financial risk study
由于金融资产价格的波动历来是金融体系风险积累的重要来源,几乎所有的金融危机都与金融资产价格的过度波动( excessivevolatility )相关,因而判断和解释金融资产的波动性,也称为易变性( volatility ) ,一直都是金融风险研究中的一个中心问题。 - Secondly , from the bank ’ s angle , i try to find some ways to avoid and control the risks derived from the fluctuation of real estate industry by the bank ’ s reform and innovation . this paper follows these clues with questions below : ( 1 ) what ’ s role do banks play in the real estate price formation ? ( 2 ) what determinants do the real estate loans depend on
本文试图从“房地产信贷风险如何形成”这一问题出发,结合国外对于房地产泡沫理论的研究,分析房地产市场、银行信贷市场、监管者以及消费者等各参与方的行为,试图找出银行在发放房地产贷款过程中导致信贷风险积累的环节,并从银行角度分析,如何通过自身的变革和创新规避和控制风险。