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1.
Statistic Analysis of National Debt Risk and Size in China;
当前我国国债风险与规模的统计分析
2.
Term Risk Premium in Government Bonds: Forecasting Model and Application;
国债风险溢价预测模型在债券投资中的应用
3.
Perfect the Market of National Debts and Weaken Risk-taking for the Circulation of the National Debts;
完善国债市场 化解国债规模风险
4.
Foreign Debt Indicators & Foreign Debt Risks Situations in China;
外债风险指标体系及中国外债风险状况分析
5.
An Analysis of the Optimal Size of National Debts and the Risk Con trol of the Chinese National Debts;
国债最优规模及我国债务风险控制的对策分析
6.
Identifying and Covering the Interest Rate Risk and Market Risk of the Treasury Bonds;
国债利率风险与市场风险的识别与规避
7.
Research For The Risk of Interest Rate On Middle-Long Term National Debt In China Today;
当前我国中长期国债利率的风险研究
8.
Study for Treasury Bond's Interest Rate Risk of Commercial Banks in China
我国商业银行国债利率风险管理研究
9.
Enterprise Bond Financing, Financial Risk, and Credit Rating: Evidence from China;
我国企业债券融资、财务风险和债券评级
10.
A Study of Credit Risk and Issue Volume of Municipal Bonds in China;
中国市政债券信用风险与发债规模研究
11.
Study on CAT Bond and Its Application in China;
巨灾风险债券及其在我国的运用研究
12.
A Theoretical Analysis of the Debt Risk Pre-warning for Chinese Local Government;
我国地方政府债务风险预警理论分析
13.
On Improvement Of Risk Control Legal System For National Debt Buyback;
论国债回购风险控制法律制度的改进
14.
A New Thinking of Avoiding and Reducing Local Debt Risk;
化解我国地方政府债务风险的新思路
15.
Research on National Bond Index Risk Based on RiskMetrics Model;
基于RiskMetrics模型的国债指数风险研究
16.
An Empirical Study on Term Risk Premiums in Bond Returns;
交易所国债期限风险溢价的实证研究
17.
On the Liabilities of China s Local Government and the its Risk Control;
试论我国地方政府债务及其风险控制
18.
The Apply of VaR Method to the Management of the Interest Rate Risk of the Treasury Security;
VaR方法在国债利率风险管理中的应用