- balance-sheet risk
- балансовый риск
English-russian accounting dictionary. 2014.
English-russian accounting dictionary. 2014.
Balance sheet accounts — Represent the financial institution s present assets and liabilities. They contain information on the actual balances at a given time. Balance sheet reports Include: Break even rates on assets Compensation statement balance confirmation … International financial encyclopaedia
Off-balance-sheet — Accountancy Key concepts Accountant · Accounting period · Bookkeeping · Cash and accrual basis · Cash flow management · Chart of accounts … Wikipedia
off-balance sheet arrangement — USA Defined in Rule 303 of Regulation S K as any transaction, agreement or other contractual arrangement to which an entity that is not consolidated with the company is a party, under which the company has one of the following: • Any obligation… … Law dictionary
Stock And Warrant Off-Balance Sheet R&D - SWORD — A financing option developed to help biotechnology companies access capital that could be used to finance new or ongoing research and development projects by establishing a separate entity. The financing received through outside investors… … Investment dictionary
Risk management — For non business risks, see risk, and the disambiguation page risk analysis Example of risk management: A NASA model showing areas at high risk from impact for the International Space Station. Risk management is the identification, assessment,… … Wikipedia
Risk Participation — A type of off balance sheet transaction in which a bank sells its exposure to a contingent obligation, such as a banker s acceptance, to another financial institution. Risk participation allows banks to reduce their exposure to delinquencies,… … Investment dictionary
risk-weighted assets — /ˌrɪsk ˌweɪtɪd æsets/ plural noun assets which include off balance sheet items for insurance purposes … Dictionary of banking and finance
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
Collateral zero-risk weighting — Defined by the BIS for reporting as collateral which are: Treasury paper issued by countries zone A. Bonds issued/guaranteed by central governments zone A. Securities issued by central banks zone A. (Pledged) credit balances… … International financial encyclopaedia
Liquidity risk — In finance, liquidity risk is the risk that a given security or asset cannot be traded quickly enough in the market to prevent a loss (or make the required profit).Types of Liquidity Risk#Asset Liquidity An asset cannot be sold due to lack of… … Wikipedia
credit risk — The risk to earnings or capital from the potential that a borrower or counterparty will fail to perform on an obligation. Usually, but not always, the obligation in question is a requirement to make interest or principal payments. Sometimes… … Financial and business terms