Last Updated:2025/12/07

Risk managers rely on economic scenario generators to stress-test long-term investment portfolios under multiple macroeconomic assumptions.

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Risk managers rely on economic scenario generators to stress-test long-term investment portfolios under multiple macroeconomic assumptions.

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リスク管理者は、複数のマクロ経済条件の下で長期投資ポートフォリオのストレステストを行うために経済シナリオ生成モデルを利用している。

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