capital ratio造句
例句与造句
- At some banks , capital ratios are dropping fast
一些银行的资本充足率下降速度很快。 - Risk - weighted capital ratios
风险资本标准 - Working capital ratio
营运资金比率 - But the really pernicious effect of capital weakness comes when banks rein in their lending and investment activity in order to keep their capital ratios constant
但是资金缺陷真正的害处在于银行为了保持资本充足率而控制借贷和投资。 - But as expectations of further write - downs grow , it and others with deteriorating capital ratios will be under pressure to reverse the trend
但是当对未来资产减值的预期逐渐增长,第一比率以及其他不断下降的资本充足率都将面对扭转趋势的压力。 - It's difficult to find capital ratio in a sentence. 用capital ratio造句挺难的
- Chapter one is the first part , it is to narrate the theory basement of capital ratio supervision and brings out the reason for bank capital supervision
第一章为第一部分,主要论述资本充足率监管的理论基础,回答了为什么要对银行业实行资本监管的问题。 - All this turmoil is focusing attention on banks ' capital ratios , the amount of money they set aside as a percentage of assets to cover unexpected losses
混乱使人们聚焦于银行资本充足率,也就是银行为了弥补意外损失留出的一部分资产占所有资产的百分比。 - In 1988 , the basel committee on banking supervision established a method of relating capital assets , using a simple system of risk weights and a minimum capital ratio of 8 %
1998年,巴塞尔银行监管委员会规定了关联资本资产的方法,即运用简单的风险衡量系统,并保证不低于8 %的最低资本率。 - The paper starts from the theory basement of the capital ratio supervision , and proves that the mission of capital ratio is to make up for the moral hazard caused by deposit insurance system
首先从资本充足率监管的理论基础入手,论证了资本监管的使命是弥补存款保险制度产生的道德风险。 - Second , since capital ratios are typically calculated on the basis of how risky a bank ' s balance sheet is , the ratings downgrades add to the amount of rainy - day money banks need to set aside
其次,由于资本充足率是在银行资产负债表的风险基础上计算得出的,那些由于评级可能被调低而需要的资金也要留出来以备不时之需。 - Then the paper analyzes the relationship between capital ratio and bank performance and the tighter capital regulation ’ s influence on the macroeconomics by empirical study . the fourth chapter is the third part
第二章从理论上分析了国有银行制度、隐性存款保险制度以及监管宽容对银行资本监管产生的不利影响,运用数理模型论证了 - In the early 1980s , the committee became concerned that the capital ratios of the main international banks were deteriorating just at the time that international risks , notably those vis - vis heavily - indebted countries , were growing
一种是美国模式。在该种模式下,大多数的附属交易都被直接禁止了,而所允许进行的少数附属交易又被法律严格地监管。 - Back - of - the - envelope calculations from goldman sachs suggest that if banks suffer a $ 200 billion loss on subprime mortgages but want to keep their capital ratios at an average level of 10 % , that would stifle lending by a whopping $ 2 trillion
从高盛粗略的计算可以看出如果银行由于次级贷而产生2000亿美元的损失,但是还想让他们的资本充足率保持在10 %这个水平线上,那么就不得不削减2万亿美元的巨额借贷。 - Besides , the chapter uses mathematical model to prove that capital regulation will cause crunch impact . the third chapter inquires into the history of bank capital regulation according to the practice of the capital regulation in china . then the paper brings out the reason for the lack of bank capital ratio
第二、三章为第二部分,从理论和实证的角度分析了我国资本充足率监管的实施效果,揭示了资本监管发展变化的动因,这是论文的主体部分。
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