避险资产 是什么?
避险资产 An asset or market segment that is expected to retain or increase in value during periods of market turmoil. Common examples include government bonds, gold, and certain currencies.
Source: CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework
How is “避险资产” Used in Practice?
市场波动期间,投资者常将资产转移到国债和黄金等避险资产。
Certification Exam Relevance
Who Needs to Know This Term?
- Financial Analysts
- Bankers
- Traders
Learn “避险资产” Free with Termify
Master 避险资产 and 4,071+ professional terms with native pronunciation, IPA transcriptions and career quizzes. 100% free, forever.
Download Free for iOSFrequently Asked Questions
避险资产 是什么?
An asset or market segment that is expected to retain or increase in value during periods of market turmoil. Common examples include government bonds, gold, and certain currencies.
Where can I learn this term for free?
Termify is a 100% free professional English app that teaches 避险资产 and 4,071+ other industry terms with native pronunciation, IPA transcriptions and career quizzes. Available on iOS in 23 languages. No subscription, no credit card required.
Last updated: