Use "financial risk" in a sentence

1. Financial analytical software, financial contact management software, financial risk modeling software

2. Financial affairs, financial risk management, financial investment advisory services, financial investment fund services, financial investment management services

3. Disseminating of financial information for third parties in relation to index levels, support documentation for financial products, risk analysis, risk assessment and risk evaluation of financial investment and trading

4. Risk participation in bankers’ acceptances and risk participation in financial letters of credit.

5. The escrow account has exposure to the following financial risks: credit risk, liquidity risk and market risk.

6. Consultancy services relating to financial investment, advisory services relating to [financial] risk management

7. Computer software for accounting and financial risk management

8. Some contracts expose the issuer to financial risk, in addition to significant insurance risk.

9. Financial analysis, research and consultancy, financial services, in particular financial forecasting, financial exchanges, management plans and financial plans, financial risk management and related instruments, including market indexes

10. Foreign exchange risk The risk of financial loss due to adverse movements in foreign currencies.

11. Foreign exchange risk – The risk of financial loss due to adverse movements in foreign currencies.

12. High OOP payments leave households exposed to financial risk.

13. B10 Some contracts expose the issuer to financial risk, in addition to significant insurance risk.

14. An insurance Actuary is a professional who analyzes financial risk using mathematics, statistics, and financial theories

15. [36] These companies usually accept some degree of financial risk.

16. It depends on your financial obligations and your risk tolerance .

17. Financial risk: Cost management, Low absorption (delays), ineligible costs, etc.

18. Financial analysis, in particular risk assessment for bad debt losses

19. Lending and risk-sharing at financial intermediary level (alignment of interest)

20. But Turkey’s vulnerability to an abrupt shift in financial markets from risk-on to risk-off was foreseeable.

21. Advisory services relating to financial and insurance risk analysis and management

22. Excluding commercial credit risk analysis and management software for the financial institutions

23. Global financial markets remain clogged with very high levels of risk perception.

24. Software for financial analysis, credit risk control and fraud prevention and management

25. Financial technology has been used to automate insurance, trading, and risk management.

26. Poor financial accountability and absence of payroll reform risk undermining current achievements.

27. - Financial sector remains fragile, but risk of a systemic crisis has receded.

28. Some derivatives (especially swaps) expose investors to counterparty risk, or risk arising from the other party in a financial transaction.

29. Since business risk is inextricably linked to the understanding of financial reporting risk, risk assessment procedures are included in the generally accepted bases for planning audits.

30. An actuary is a business professional who analyzes the financial consequences of risk.

31. Actuarial science is a discipline that uses mathematics, statistics and financial theory to measure, manage and mitigate financial risk and uncertainty

32. Monitoring investment value and financial evaluations regarding asset allocation, risk, tolerance, financial alternative plans and investment performance over selected time frames

33. Financial and direct risk management services, namely, exposure and financial modelling and analysis, catastrophe and geospatial modelling, actuarial analysis and market security reviewing

34. Overseas Private Investment Corporation (US) Financial Products: Political Risk Insurance, Loans Major Sectors of Activity:

35. According to the presence or absence of risk, it will be insurance or financial deposit

36. • Not fully addressing all risk parameters such as: legal, proprietary, ethical, policy and financial guidelines

37. The Become the Banker financial strategy is a sound method of creating wealth without risk

38. Argos Risk® is a leading provider of third-party risk intelligence solutions, formed in 2010 by experts in financial risk management to fulfill a need for timely and comprehensive knowledge

39. Disseminating data and data packages for third parties consisting of index constituent data for the calculation and composition of indices, risk analysis, risk assessment and risk evaluation of financial investment and trading

40. The higher the interest rate, the greater the financial risk - which, of course, cuts both ways.

41. Ariste Reno Senior Risk Management Executive / SEC Audit Committee Financial Expert (ACFE) Chicago, Illinois 500+ connections

42. Following the financial (securities) market changes, risk free interest rate and the Beta factor were updated.

43. What degree of financial risk is acceptable where future uses of infrastructure are difficult to define?

44. An actuary is a business professional who deals with the financial impact of risk and uncertainty.

45. (-) Qualifying holdings outside the financial sector which can alternatively be subject to a 1,250 % risk weight

46. In India, we have taken bold steps to ensure financial inclusion and risk insurance for the poorest.

47. (-) Qualifying holdings outside the financial sector which can alternatively be subject to a 1 250 % risk weight

48. There is broad variety of financial security products available to hedge oil and gas companies’ operating risk.

49. concentration risk means all risk exposures with a loss potential which is large enough to threaten the solvency or the financial position of insurance and reinsurance undertakings

50. ‘concentration risk’ means all risk exposures with a loss potential which is large enough to threaten the solvency or the financial position of insurance and reinsurance undertakings;

51. When analyze financial factor, decision tree method on the basis of inductive reasoning means is adopted to analyze the infection of financial factor to loan risk classification.

52. Financial decision making, investment research, monitoring investment values and performance of investments, analyzing investment performance, evaluating asset allocation, risk tolerance, financial alternative plans, and investment time frames

53. (29) Concentration risk means all risk exposures with a loss potential which is large enough to threaten the solvency or the financial position of insurance and reinsurance undertakings;;

54. (35) ‘concentration risk’ means all risk exposures with a loss potential which is large enough to threaten the solvency or the financial position of insurance and reinsurance undertakings;

55. In November 2003, a risk assessment of the administrative controls over the public debt financial instruments was performed.

56. Companies were created to limit financial risk, they were never intended to be used as a moral shield.

57. Prepare reports on financial, performance and risk management that include a full analysis and explanation of significant variances.

58. Internal financial circuits and auditing procedures can be expected to sufficiently address any risk of fraud or irregularity.

59. For the entrepreneur, advancing along the innovation chain is a function of managing risk – developmental, financial and market.

60. Banks involved in oil project financing have to evaluate financial and country risk in the manner previously described.

61. Following changes on the financial (securities) market, the risk-free interest rate and the beta factor were updated.

62. Actuaries evaluate risk and opportunity – applying mathematical, statistical, economic and financial analyses to a wide range of business problems

63. Data Analytics is also used to detect and prevent fraud to improve efficiency and reduce risk for financial institutions

64. Capitation payments and full risk sharing were more common in southern California, with 23 percent of the commercial population obtaining care from a provider with full financial risk in 2017

65. The French public favored war, though Vergennes and King Louis XVI were hesitant, owing to the military and financial risk.

66. About us Afte is the reference Association of finance professionals involved in the management of cash, finance and financial risk

67. Providing services in the fields of credit analysis, account analytics, wire transfer services, payment scheduling, transaction tracking, and financial risk assessment

68. We also need better surveillance and regulation of financial markets. An effective early warning system is needed to identify risk accumulation.

69. What Is an Actuary? An Actuary uses math and statistics to estimate the financial impact of uncertainty and help clients minimize risk.

70. Asquare Partners is an international niche headhunting company operating in the financial industry, specialised in actuarial science, risk management and data science

71. An Actuary is a business professional who analyzes the financial consequences of risk. Actuaries use mathematics, statistics, and financial theory to study uncertain future events, especially those of concern to insurance and pension programs.

72. Critics argued that credit rating agencies and investors failed to accurately price the risk involved with mortgage-related financial products, and that governments did not adjust their regulatory practices to address 21st-century financial markets.

73. If this was n ' t bad enough , some financial institutions are so risk - averse that they lend only to AA and AAA clients .

74. Strengthening the financial emergency management capacity building, improve the prevention of systemic risk in advance of the coping mechanisms and ex post facto .

75. Choose your financial goal and risk tolerance – our low-fee Automated investing solution will create, monitor, and rebalance your investment portfolio as needed.

76. Your ideal asset allocation is based on a variety of factors such as your financial goals, your risk tolerance and your time horizon.

77. 6 Chattel mortgage; The Third-Party Logistics; Risk identification; Risk control; Risk evaluating; Risk matrix technique.

78. Convertible bond is a kind of financial derivative instrument with fund raising and risk avoiding functions, which is novel and unfamiliar in our country.

79. This lecture explains risk averse, risk neutral, and risk Acceptant (risk loving) preferences in a game theoretical context

80. Clawback policies have been receiving more attention in recent years, due in large measure to the 2008 financial crisis, blamed in part on excessive risk …