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单词
market risk
释义
ˌsystematic ˈrisk
(
also
ˌmarket ˈrisk
)
noun
[
uncountable
,
countable
]
(
Finance
金融
)
risk that affects the price of all investments of a particular type (shares, bonds, etc.), for example the possible effects of political or economic change
系统风险
➡
unsystematic risk
随便看
tax credit
deficiency notice
ex-dividend
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transformation
marker
psychographics
WDV
higher-income
net 30 prox
reporting pay
carriage and freight
drawdown
commute
foldout
credit loss
insufficiently
overestimate
secondary production
stopover
legalize
plus sign
special interest group
the disabled
demand loan
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