FRM:财务风险经理
“Financial Risk Manager”(金融风险管理师)常缩写为FRM,便于日常书写及行业内高效沟通。该称谓广泛用于商业与金融领域,特指从事财务风险识别、评估与管控的专业职位,其对应的中文含义即“财务风险经理”。持有FRM认证的专业人士通常在银行、投资公司及企业风控部门担任要职,负责保障机构资金安全与合规运营。
Financial Risk Manager具体释义
Financial Risk Manager的英文发音
例句
- The design of the system can resolve the financial market risk quantitative management problem of domestic securities firm, and the senior manager can clearly realize the risk exposure of portfolio so that they can pertinently handle with risk management of portfolio.
- 通过上述系统的设计,可解决证券公司对金融市场风险量化管理问题,使管理者能够清楚认识到投资组合风险暴露,针对性的对投资组合头寸开展风险管理工作。
- While wine knowledge on the part of the investor is not necessary, financial savvy, a high risk threshold, and the ability to ask searching questions of the fund manager are.
- 虽然投资者不一定要掌握有关葡萄酒的知识,但他们仍需要有金融头脑和高风险承受力,能够像基金经理那样提出透彻的问题。
- Gary swiman, who heads the asset manager division at consulting firm ICs risk advisers, says several other hedge funds and financial institutions that he works for have followed suit.
- 咨询公司ICSRiskAdvisers负责资产管理业务的盖瑞•斯韦曼表示,他服务的其他几家对冲基金和金融机构也已经进行了减持操作。
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