Примери за използване на Interest rate risk на Английски и техните преводи на Български
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Interest rate risk management.
Reducing Greece's interest rate risk;
The interest rate risk category add-on;
Hedging currency and interest rate risk.
Our interest rate risk stems from long-term loans.
(d)The entity designates the interest rate risk it is hedging.
Foreign exchange Fixed income securities Hedging currency and interest rate risk.
Hedging currency and interest rate risk Custody View all.
This scheme significantly reduces Greece's interest rate risk.
The Group's interest rate risk arises from long-term borrowing.
That's a hefty price to pay for ignoring interest rate risk.
Interest rate risk, or the risk that interest rates will change.
This significantly reduces the interest rate risk that Greece bears.
Interest rate risk directly affects the values of fixed income securities.
The entity may hedge a portion of the interest rate risk associated with this designated amount.
Collars: A protective collar can also help manage interest rate risk.
(f) the exposure of investment firms to the interest rate risk arising from non-trading book activities;
Interest rate risk is the risk that the fair value or future cash flows of a financial instrument will.
The main risk on government debt is interest rate risk.
The mark-to-market interest rate risk of the ECB is mitigated through asset allocation policies and the revaluation accounts.
Has systems for monitoring and controlling the interest rate risk of all transactions;
Interest rate risk is the risk that arises when the absolute level of interest rates fluctuate.
Those who want to hedge their investments against interest rate risk have many products to choose from.
FRA users are typically borrowers orlenders with a single future date on which they are exposed to interest rate risk.
The main risks with bond funds are interest rate risk, exchange risk and credit risk. .
Municipal bonds are subject to availability,price and to market and interest rate risk is sold prior to maturity.
This risk could be a portion of the interest rate risk in each of the items in the hedged position, such as a benchmark interest rate(eg LIBOR).
Municipal bonds are subject to availability, price,and to market and interest rate risk if sold priorto maturity.
This risk may be a portion of the interest rate risk in each of the items in the portfolio, such as a benchmark interest rate like LIBOR or US Prime.