Initial margin - translation to spanish
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Initial margin - translation to spanish

A TYPE OF FINANCIAL COLLATERAL USED TO COVER CREDIT RISK
Margin buying; Margin account; Buying on margin; Maintenance margin; Initial margin; Maintance Margin; Initial Margin; Margin (Futures); Margin (futures); Margin balance; Trading on margin; Margin trading; Margin requirement; Margin Lending; Margin loan; Margin financing; Return on margin; Maintenance margin requirement; Margin lending; On margin; Margin calls; Maintenance call; Margin money stock trading; Margin trade; Margin (trade); Margin call (finance)

Initial margin         
Margen inicial
Cuando un cliente establece una posición, se le requiere que realice un depósito mínimo para asegurar el funcionamiento de sus obligaciones. El margen de los futuros es dinero ganado o bonos de cumplimiento.
Maintenance margin         
Depósito, margen de mantenimiento
El mínimo nivel al que la cuenta de futuros debe ser mantenida. Si el valor de la cuenta cae debajo de este nivel, un llamado por depósito será hecho, y los fondos deberán ser depositados para volver la cuenta a su nivel de margen original. El nivel del depósito de mantenimiento es generalmente del 75% del margen inicial requerido.
initial         
  • alt=Ornamental lettering samples. The order of V and U letter places are swapped and the letters J, O, W, and Z.l are missing
LETTER AT THE BEGINNING OF A CHAPTER/PARAGRAPH THAT IS LARGER THAN THE REST OF THE TEXT
Initials; Drop cap; Drop capital; Dropcap; First-letter; Ornamental initial; Dropped capital; Drop initial; Illuminated capital; Flourished capital; Flourished initial; Dropcaps; Illuminated initial; Drop caps; Decorated initial; Draft:Initial; Initial letter
inicial
primero
firmar o marcar con iniciales

Definition

drop capital
¦ noun a large opening capital letter occupying more than the depth of one line.

Wikipedia

Margin (finance)

In finance, margin is the collateral that a holder of a financial instrument has to deposit with a counterparty (most often their broker or an exchange) to cover some or all of the credit risk the holder poses for the counterparty. This risk can arise if the holder has done any of the following:

  • Borrowed cash from the counterparty to buy financial instruments,
  • Borrowed financial instruments to sell them short,
  • Entered into a derivative contract.

The collateral for a margin account can be the cash deposited in the account or securities provided, and represents the funds available to the account holder for further share trading. On United States futures exchanges, margins were formerly called performance bonds. Most of the exchanges today use SPAN ("Standard Portfolio Analysis of Risk") methodology, which was developed by the Chicago Mercantile Exchange in 1988, for calculating margins for options and futures.