Total-risk-based-capital-ratio网络高风险资本率 网络释义 1. 高风险资本率 美富银行以68%的高风险资本率(Total Risk Based Capital Ratio)傲视群雄﹐拥有雄厚的资本和坚实稳固的经营基础﹐ 而且不受 …blog.dwnews.com|基于1 个网页© 2025 Microsoft 隐私声明和 Cookie 法律声明 广告 帮助 反馈...
Total risk-based capital ratio means the Total Risk-Based Capital Ratio determined in accordance with the rules and regulations of the appropriate Regulatory Authority as from time to time in effect, and any successor or other regulation or official interpretation of said Regulatory Authority relating...
a连接电源 Connects the power source[translate] athe total basel II capital ratio (tier 1 and tier 2 capital divided by total risk-weighted assets) stood at 16.5% at year-end 正在翻译,请等待...[translate]
A.CET1 capital ratio only B. Leverage ratio only C. Tier 1 capital ratio and Leverage ratio only D. Total capital ratio and CET1 capital ratio only 解释: The bank’s CET1 capital ratio = (CET 1 capital)/(risk-weighted assets)= (1,515/26,395) = 5.74%. This ratio meets and exc...
of investments twofold, namely, the probability of one failure to the total number of investments in a given fund portfolio, and the fraction of capital lost in one failure to the total capital injected in all deals of a fund portfolio, which is termed as the total-loss鈥揷apital ratio. ...
Twitter Google Share on Facebook TDR (redirected fromTotal Debt Ratio) Category filter: AcronymDefinition TDRTime Domain Reflectometer TDRTraining in Tropical Diseases TDRTransfer of Development Rights TDRTokyo Disney Resort TDRTime-Domain Reflectometry ...
Sumitomo Mitsui Financial Group's total capital ratio 2015-2024 Sumitomo Realty and Development's total assets FY 2016-2023 Revenue of S&P Global 2008-2023 Cities with the highest risks worldwide by amount of GDP at risk 2019 TopicsBanking industry in JapanAsset management in JapanInsurance industr...
Sortino ratio VTSMX 0.42 1.00 1.10 Primary benchmark* 0.43 1.01 1.11 Broad-based benchmark 0.43 1.01 1.10 Risk measures are calculated from trailing 3, 5, and 10 year fund returns relative to the associated benchmarks. An investment in the fund could lose money over short or even long perio...
In performance measurement, the actualrate of returnrealized over someevaluation period. In fixed income analysis, the potential return that considers all three sources of return (coupon interest,intereston coupon interest, and anycapital gain/loss) over some investment horizon. ...
Limitations of the Total Asset-to-Capital Ratio – TAC ButCET1 ratioscan be misleading because they depend on subjective risk weights. Because Canadian banks have been permitted to utilize lower risk weights than their U.S. peers, they are using aggressive amounts of leverage and creating more ...