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- Reyfman and Toft. Credit Derivatives - A Risk Management Tool for Non-Bank Corporations. (2001). 信用衍生性金融商品-适用非银行公司的风险管理工具。(2001年)。
- The article discusses the stages of risk management for digital information preservation, and introduces the content of risk management tool VRC. 本文讨论了数字保存风险管理的阶段,介绍了风险管理工具VRC的主要内容。
- VaR(Value at risk) is brief name of a kind of financial risk management tool, which rose abroad in recent years. Its aim is to estimate possible or latent loss of a certain financial product or combination under the future property price motion. var是风险估值模型(Value at risk)的简称,是近年来国外兴起的一种金融风险管理工具,旨在估计给定金融产品或组合在未来资产价格波动下可能的或潜在的损失。
- GPD Model as a Risk Management Tool 广义帕累托分布模型:风险管理的工具
- Among the refinements that Dorgan foresees in the upcoming legislation are a mandatory animal identification program and better risk management tools for farmers. 就需要细化的内容而言,道根预计,新法案将强制执行动物标识措施,并为农民提供更好的风险管理工具。
- This paper first explains related concepts of Software Project Risk Management (SPRM).Then the software project risk management tools and methods are Illustrated and compared. 介绍了软件项目风险管理相关概念,阐述了软件项目风险管理工具和方法,并进行了比较分校。
- In large financial institutes which take quantitive analysis into use, investors build up investment decision and risk management tools from portfolio theory of Markowitz. 在使用数量化分析的大机构里,投资者所建立的投资决策工具和风险管理工具,大部分是基于马科维茨组合理论的基本原理。
- So swap futures price level, price dynamics and price gains will counter with the cash and the market more closely, for market participants to provide more effective risk management tools. 因此掉期期货价格水平、价格动态和收益价格比将与现货和柜台市场更加密切,为市场参与者提供更有效的风险管理工具。
- Based on the management tools described in the Basel New Capital Protocol, the writer gives analysis for operational risk losses and works out management models of risk management in the aspects of internal, external, systematical, and personnel. 通过对国内外商业银行操作风险管理的现状研究,分析了国内商业银行操作风险管理存在的问题和成因。 按照《巴塞尔新资本协议》对操作风险的管理理论,对操作风险损失进行分类评估,建立了内部、外部、系统、人员等类别的风险管理模式。
- 59. Reyfman and Toft. Credit Derivatives - A Risk Management Tool for Non-Bank Corporations. (2001). 信用衍生性金融商品-适用非银行公司的风险管理工具。(2001年)。
- Open the Failover Cluster Management tool. 打开故障转移群集管理工具。
- IBE Bar is a taskbar system management tool. 一个任务栏的系统管理工具。
- Cathay Project Risk Management Co., Ltd. 华澳工程风险技术咨询有限公司。
- Probability and financial risk management programs. 概率和金融风险管理等课程。
- How is operation tied with risk management? 业务操作如何与风险管理相联系?
- Hurricane risk management in US. 美国飓风风险管理。
- It all boils down to a risk management decision. 归根究底风险管理的决定。
- Risk management techniques (Proficiency Level) . 风险管理技术(要求熟练掌握)。
- Risk management undoubtedly played a part too. 风险管理毫无疑问也是起了重要作用。
- Risk management has been spruced up. 风险管理部门被重组。