We knew the financial holding company often has the profession risk, the capital risk, the management risk, the management risk , as well as the risk transmission in the operation , and so on.
我们知道金融控股公司在运营中往往具有行业风险、资本风险、经营风险、管理风险以及风险的传递等额外风险。
Because of the particular risk of the financial holding company, it is necessary to establish the correspondent regulation system on both internal control and external regulation to avert risk.
由于金融控股公司形式下存在特有的风险,需要从内部控制和外部监管两方面着手,建立起相应的监管体系以防范风险。
At present, a lot of below standard and uniformed issues still exist in the formation and operation management for Chinese financial holding company and oppose great risk potential.
目前我国的金融控股公司在组建和经营过程中存在诸多不规范不完善之处,并且,隐含着较大的潜在风险。
Through the analysis of the previous article, it is easy to find our financial holding company on risk transmission control mechanism is also imperfect.
通过文章前面的分析,不难发现我国金融控股公司在风险传递控制机制建设上还十分不完善。
Third, analysis the the type of the risks existence in the financial holding company, and find the reasons of the risk transmission, transmission channels and mechanisms.
第四,对美国、英国、日本、德国四个国家金融控股公司的形式和风险控制手段进行了比较分析,寻找国际上通用的先进经验;
The third chapter is mainly introduces the theory of ANP and its algorithm, discusses the Applicability between the ANP theory with the risk management of financial holding company.
第三章主要介绍了ANP的理论及算法,以及简要的讨论了ANP方法与金融控股公司风险管理的适用性。
The second chapter briefly outlines the financial holding company and financial holding companies to conduct risk analysis, including its sources, the characteristics, as well as the classification.
第二章首先简单的概述了金融控股公司,并对金融控股公司的风险进行分析,包括其来源、特点以及分类。
While we know little about the risk of financial holding company, we must learn and master.
但在我国,对金融控股公司的认识还存在许多问题,尤其是对其风险问题。
Therefore we need to strengthen the risk management of the financial holding company.
所以必须加强对金融控股公司的风险管理。
The risk management of Financial Holding company including the structure of company, the skill of risk management and the concept. The most important thing is internal control and risk warning system.
金融控股公司的风险管理包括管理体制、管理技术及管理理念等内容,其关键是建立内控机制和建立内部风险预警系统。
At last, the paper use analytic hierarchy process (AHP) to analyze the risk of financial holding company and proposes Suggestions on the internal control mechanism and external supervision mechanism.
最后利用层次分析法分析了金融控股公司的风险以及对我国金融控股公司风险的内部控制机制和外部监管提出了建议。
Facing the current and on-going fierce competition, financial holding company is a good tool used by our financial institutions to meet the requirement of mixed operation and risk-control.
在面对现有的和即将到来的更为激烈的市场竞争时,金融控股公司将是我国金融机构进行综合经营、风险防范的非常好的方式。
Facing the current and on-going fierce competition, financial holding company is a good tool used by our financial institutions to meet the requirement of mixed operation and risk-control.
在面对现有的和即将到来的更为激烈的市场竞争时,金融控股公司将是我国金融机构进行综合经营、风险防范的非常好的方式。
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