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1.
Risk Adjusted Return on Capital (RAROC)
风险调整资本回报率
2.
Liquidity Risk-Adjusted Credit Default Swap Pricing;
流动性风险调整的信用违约互换定价
3.
Positive Analysis about the Econometric Modeling on Interestrate Risks in Commercial Banks Adjusted by Default Risks;
基于违约风险调整的商业银行利率风险计量及实证分析
4.
Application of risk adjusted return of capital in credit risk management;
风险调整后的资本收益率在信用风险管理中的应用
5.
On Enterprise Credit Risk Management: Based on RAROC
基于风险调整收益方法的企业信用风险管理研究
6.
A Research on the Evaluation of Risk-Adjusted Performance of Commercial Banks;
基于风险调整的商业银行绩效评价研究
7.
Risk Adjust and Genesis Analysis of Open-ended Fund Performance;
开放式基金业绩评估中的风险调整和归属分析
8.
The Performance Evaluation Concerning the Open-end Funds Based on the Risk-adjusted Returns;
基于风险调整收益法的开放式基金业绩评价
9.
Measurement and Positive Study of Funds Risk-Adjusted Return;
我国基金风险调整后收益的测量和实证研究
10.
An Empirical Analysis on the Risk-Adjusted Cost Efficiencies of Commercial Banks in China;
基于风险调整的中国商业银行成本效率研究
11.
Empirical Analysis on Factors Affecting Bank Performance: Based on Risk Adjustment;
基于风险调整的银行绩效影响因素实证分析
12.
On Discount Rate and Risk Adjustment of Enterprise Itemized Evaluation;
谈企业项目评价中的折现率及风险调整
13.
On Risk-adjusted Performance Assessment of Open-end Funds;
基于风险调整收益的开放式基金业绩评价
14.
Risk Analysis of Price Adjustment in International Construction Contracting;
国际工程承包中的价格调整风险分析
15.
On the Adjustment of Transition Matrices in Credit Risk Models;
信用风险模型中转移矩阵的调整问题
16.
Measurement of Financial Risk: a Probability-readjustment- based Method;
金融风险的概率调整度量方法及应用
17.
Asset Specificity and Risk Aversion in Adjustment of Agricultural Production Structure;
资产专用性与农业结构调整风险规避
18.
A Study of the Risks of M&A Coming from Structure Adjustments;
结构调整对企业并购风险的因素分析