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1.
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
2.
La-VaR Portfolio Risk Management Based on the Correlation between Market Risk and Liquidity Risk;
考虑市场风险与流动性风险的La-VaR资产组合风险管理
3.
Analysis on Liquidity Surplus and Liquidity Risk of Financial Market;
金融市场的流动性过剩与流动性风险分析
4.
Liquidity risk,liquidity demand of investors and asset pricing
流动性风险、投资者流动性需求与资产定价
5.
The Research on the Liquidity Risk of Open-end Funds in China;
我国开放式基金流动性风险问题研究
6.
Liquidity Risk,Bank Crises and Endogenous Growth;
流动性风险、银行危机与内生经济增长
7.
Study on the Liquidity Risk Management of China s Open-end Securities Investment Funds;
我国开放式基金流动性风险管理研究
8.
The Liquidity Risks of Regional Financial Institutions in Guangxi;
广西地方金融机构流动性风险及防范
9.
A Study of Liquidity Risk Premium in Chinese Stock Markets;
我国股票市场的流动性风险溢价研究
10.
Liquidity Risk-Adjusted Credit Default Swap Pricing;
流动性风险调整的信用违约互换定价
11.
The Control of Opened-endfund Liquidity in China;
论我国开放式基金的流动性风险防范
12.
An Analysis on the Risk of Liquidity of Open-Ended Funds and the Accounting Prevention;
开放式基金流动性风险及其会计防范
13.
Brief Introduction to Circulating Risk Management of Commercial Bank in China;
浅论我国商业银行的流动性风险管理
14.
The Analysis of Opened-endfund Liquidity Risk and Control;
论开放式基金的流动性风险及其控制
15.
Liquidity Risk Measurement of Inventory Financing
存货质押融资业务的流动性风险度量
16.
Study of Liquidity Risk for Open-end Funds Based on Copula
基于Copula的开放式基金流动性风险研究
17.
Up-to-date Progress of Supervision Philosophy in Liquidity Risk Management--Based on the Amendment to Basel Guideline on Liquidity Risk Management
银行流动性风险监管理念的最新进展
18.
Liquidity Risk Measurement in China's Stock Market--LVaR
中国股市流动性风险的度量——LVaR研究