RR:风险逆转
“风险逆转”(Risk Reversal,常缩写为RR)作为一种风险管理策略,在商业及金融领域中广泛应用。该缩写形式便于快速书写与日常沟通,尤其常见于合同条款、投资分析和交易场景中,旨在通过特定金融工具对冲或转换潜在的市场风险,从而帮助企业和投资者更灵活地管理不确定性。这一术语的使用,突显了现代商业活动中对风险控制的高度重视。
Risk Reversal的英文发音
例句
- The main contents of the Circular include : firstly, two categories of risk reversal portfolio business, including foreign exchange put option and foreign exchange call option are introduced;
- 《通知》主要内容包括:一是推出外汇看跌和外汇看涨两类风险逆转(RR)期权组合业务;
- Without clear tests indicating when official notice is proper, agencies may be unwilling to risk reversal by taking notice of nonrecord facts.
- 没有表明何时官方通知是适当的明确标准,行政机关恐怕不愿意由于注意了非记录的事实而冒司法撤销的风险。
- If the conditions are not met, stubbornly forced promote the development of a market sectors, are likely to unforeseen repeatedly over, and even when the risk of a reversal.
- 如果条件不具备,一味地强行推动某一行业市场的发展,很可能矫枉过正出现始料不及的反复,甚至物极必反产生逆转的风险。
- For example, the risk of loss of the independence of economic and financial policies, the risk that massive reversal capital flows assault the economic and financial stability.
- 例如经济金融政策独立性丧失的风险,大规模资本流动逆转对经济金融稳定造成冲击的风险等。
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