riskiness
英
美
网络 风险性; 风险高低
BNC.49898 / COCA.37741
英英释义
noun
- a state of danger involving risk
双语例句
- Taxes reduce the expected return on a risky asset but also lessen its riskiness.
税收减少了风险资产的预算收益,但也降低了它的风险。 - One can expect regulators to mainly follow rather than lead the market in assessing riskiness and other asset characteristics.
可以料想,在风险评估和其他资产分析方面,监管者不但未能引领了市场风向,反而成为了盲目跟风者。 - Mr Little saw a host of very good opportunities, with forecast rates of return at historically high levels, despite more conservative loan-to-value levels helping reduce riskiness of lending.
利特尔看到了大量非常好的机会:尽管更为保守的贷款额度与抵押品价值比率有助于降低贷款风险,但他预计贷款回报率将达到历史性高位。 - But the riskiness of even such a limited use of force should focus all our minds on the need to construct a united front and pose Pyongyang a stark choice at this precarious moment.
但是,即便是这种有限使用武力的风险,也应让我们聚焦这样的需要:值此动荡之际,建立一条联合阵线,迫使平壤接受严峻的选择。 - The agencies remain a protected species because central banks use ratings from officially approved agencies for purposes including deciding which collateral to take from banks and assessing the riskiness of assets.
评级机构仍属于被保护的类别,这是因为中央银行在许多方面要使用经官方认可的评级机构提供的评级,比如在决定从银行接受抵押物的类别和评估资产风险的时候。 - The first, more global approach gives us a feel for the overall riskiness; the second, more detailed view tells us why the countries find themselves in a specific location on the global risk map.
首先,利用全球性方法了解总体风险,其次,详细研究,了解各个国家之所以会落在全球风险图上某个特定位置的原因。 - That alone will challenge old rules of thumb about the relative riskiness of emerging-market debt.
楼主翻成关于新兴市场债务风险的估算仅凭这个就会受到质疑。 - The low capital ratio feature has determined commercial banking itself having higher tendency of inherent riskiness.
自有资本占比低这一特点决定了商业银行具有较强的内在风险性。 - The IRB allows a bank to use its own internal historic data to calculate the riskiness of its loans and investments.
内部评级法允许银行利用自己内部的历史数据来计算贷款和投资的风险系数。 - Fewer than half of global financial institutions account sufficiently for complex financial and commodity exposures in assessing the riskiness of their holdings, according to a survey by Deloitte.
德勤(Deloitte)进行的一项调查显示,在全球金融机构中,仅有不足半数在评估其所持资产的风险过程中,充分考虑了复杂金融资产和大宗商品资产的风险。