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1.
Risk Management of Credit Assets by Modern Commercial Banks;
现代商业银行信贷资产风险管理研究
2.
China Group Companies in the Brand Equity of the Risk Management System Control Research
中央企业品牌资产风险管理体系研究
3.
The Risk Management of the Real Estate Investment of the Insurance Asset in China;
论保险公司不动产投资及其风险管理
4.
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
5.
Risks and Risk Management of BOT Investment & Financing in Environmental Protection Industry;
环保产业BOT投融资风险及其管理
6.
Research on Risk Management of Credit Asset Securitization;
信贷资产证券化风险管理的相关研究
7.
Research on the Risk Management of Real Estate Investment Trusts;
房地产投资信托基金(REITs)风险管理研究
8.
A Cause Analysis of Moral Risks in Financial AMC;
金融资产管理公司道德风险成因新探
9.
An Analysis on the Risk Management of Credit Capital for State-owned Commercial Banks;
论国有商业银行信贷资产的风险管理
10.
STRENGTHEN MANAGEMENT OF CREDIT PROPERTY RISK FOR KEEPING A LOOKOUT OF CREDIT RISK;
强化信贷资产管理 防范化解信贷风险
11.
FPSO Asset Integrity Management Based on Risk Analysis
基于风险分析的FPSO资产完整性管理
12.
A Study on ALM for Insurance Enterprise Based on Interest Rate Risk;
基于利率风险的保险公司资产负债管理研究
13.
The Research of A Securities Corporation for Management Strategy of Investment Risk;
A证券公司资产管理业务风险管理策略的研究
14.
Self Financing Transaction Strategies, Duplicated Assets Portfolio and Risk Management
自融资交易策略、复制资产组合和风险管理
15.
Research on Investment and Management of Sports Industry Venture Capital Fund in China;
我国体育产业风险投资基金的投资与管理研究
16.
On the risk management of investment operations for real estate investment trusts
房地产投资信托基金投资运作风险管理研究
17.
Assets and tail risk allocation by nonlinear Mean-CVaR model;
非线性Mean-CVaR框架下的资产和破产风险管理
18.
A Study on Moral-Hazard and the Governance Mechanism of Financial Asset Management Corporation;
金融资产管理公司的道德风险及治理机制研究