...安全(PortfolioInsurexclusivece),即诈欺股票指数期货来掩护股票投资组合的减价风险;第二,举办政策性资产分配(AssetAllocine)。期货市场具有活动性高、生意本钱低、市场效率高的特征,正好刚好适当全球金融国际化、自在化的客观需求。
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二是运用资产负债管理比率建立约束条件,通过法律、法规和经营管理约束控制流动性风险,使贷款的分配决策满足银行监管要求和银行经营实际;
Secondly, liquidity risk is controlled by using constrains on laws, regulation and operation, so the loan′s allocation can meet the requirements of supervision and operation.
低负债,高流动性应该倍受重视来避免现金流困难,确保更大的调整资产分配的灵活性,并创造在经济危机后的机会。
Low debt and high liquidity should be valued for avoidance of cash-flow distress, ensuring greater flexibility in adjusting asset allocation, and creating opportunities in the aftermath of a crisis.
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