asset risk


asset risk
фин. риск активов (риск, связанный с возможностью падения рыночной стоимости инвестиционных активов, или меньшей, чем ожидалось, доходностью активов; для некоторых финансовых активов, напр. облигаций, может включать также и риск, связанный с неспособностью эмитента своевременно выплачивать проценты или погашать основную сумму долга)
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Англо-русский экономический словарь.

Смотреть что такое "asset risk" в других словарях:

  • Risk assessment — is a common first step in a risk management process. Risk assessment is the determination of quantitative or qualitative value of risk related to a concrete situation and a recognized threat. Quantitative risk assessment requires calculations of… …   Wikipedia

  • Asset allocation — is a term used to refer to how an investor distributes his or her investments among various classes of investment vehicles (e.g., stocks and bonds). A large part of financial planning is finding an asset allocation that is appropriate for a given …   Wikipedia

  • Risk aversion — is a concept in psychology, economics, and finance, based on the behavior of humans (especially consumers and investors) while exposed to uncertainty. Risk aversion is the reluctance of a person to accept a bargain with an uncertain payoff rather …   Wikipedia

  • Risk — takers redirects here. For the Canadian television program, see Risk Takers. For other uses, see Risk (disambiguation). Risk is the potential that a chosen action or activity (including the choice of inaction) will lead to a loss (an undesirable… …   Wikipedia

  • asset/liability management — ( ALM) Coordinated management of all of the financial risks inherent in the business conducted by a financial institution. The process of balancing the management of separate types of financial risk to achieve desired objectives while operating… …   Financial and business terms

  • Asset-based egalitarianism — is a form of egalitarianism which theorises that equality is possible by a redistribution of resources, usually in the form of a capital grant provided at the age of majority. Names for the implementation of this theory in policy include… …   Wikipedia

  • asset management — ➔ management * * *    Also known as liability management, this is the function of controlling assets and liabilities to achieve the optimum return and reduce risk. * * * asset management UK US noun [U] FINANCE ► the management of a company s or… …   Financial and business terms

  • Asset protection — (sometimes also referred to as debtor creditor law) refers to a set of legal techniques and a body of statutory and common law dealing with protecting assets of individuals and business entities from civil money judgments, creditors such as… …   Wikipedia

  • Risk based inspection — (or RBI) is a risk based approach to inspection in the Oil and Gas industries. This type of inspection analyzes the likelihood of failure and the consequences of the same, often in industrial pipework. It is also called Risk Based Asset… …   Wikipedia

  • Risk-based pricing — is a methodology adopted by many lenders in the mortgage and financial services industries. The interest rate on a loan is determined not only by the time value of money, but also by the lender s estimate of the probability that the borrower will …   Wikipedia

  • Asset-backed commercial paper — (ABCP) is a form of commercial paper that is collateralised by other financial assets. ABCPs are typically short term investments that mature between 90 and 180 days and are typically issued by a bank or other financial institution. They are… …   Wikipedia

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