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1.
The History and Trend of Methods of Credit Risk Measurement;
信用风险测量方法的发展历史及趋势
2.
Evolution and Lessons of Credit Measuring Approach of Credit Risks in Commercial Banks;
商业银行信用风险测量方法的演进及借鉴
3.
VaR Method and Its Application for Finance Market Risk Measurement;
金融市场风险测量的风险价值方法及其应用
4.
The VaR Method and its Application For Finance Market Risk Measurement;
金融市场风险测量的VaR方法及其应用
5.
measure of risk exposure
衡量风险承担的方法
6.
Application of VaR Method in Risk Measurement: The Case of the Chinese Open-Ended Funds;
VaR方法在开放式基金风险测量中的应用
7.
Applying VaR in Measuring the Risk of Credit Derivatives;
VaR方法在信用衍生债券投资风险测量中的应用
8.
SEVERAL CRITICAL POINTS ABOUT NEW RISK MEASUREMENT AND MANAGEMENT METHOD:MARK-TO-FUTURE;
未来计值风险测量与管理方法的几个核心问题
9.
On Measuring and Forecasting Methods and Avoiding Strategies of Investment Project Risk;
企业投资风险的度量预测方法和防范策略研究
10.
Study of Risk Quantification in the Enterprise-wide Risk Management;
全面风险管理中风险量化方法的研究
11.
Evaluation and Strategies on Longterm Risky Investment;
风险型长期投资决策方法与风险计量
12.
The Measurement and Controlling Methods on Interest-rate Risk of Bonds;
债券利率风险度量方法及其风险防范
13.
The comparison between the economic rationality of risk measurement and the method
风险度量的经济学理性与风险度量方法比较
14.
recording anemometrical measurements.
测量风力记录的方法。
15.
Approaches to Predicting Volatility Inputs in Value-at-Risk and their Applications in Risk Management;
论风险值波动率预测方法在风险管理中的运用
16.
Approach to Comprehensive Fuzzy Estimation of Dynamic Risk for Capital Venture Process;
风险投资过程的动态风险模糊综合估测方法
17.
Demonstration and Comparison on the Method of Risk-quantified in Value at Risk;
风险价值体系中风险量化方法的实证与比较
18.
Study on integrated measurement of incorporating liquidity risk and market risk
流动性风险与市场风险的集成度量方法研究