Therefore, this thesis will study the anti-risk management of financial derivatives from the angle of accounting supervision.
由此本文从会计监管角度出发对金融衍生工具风险管理问题进行研究。
By establishing a bilateral, regional and global organic of multiple levels of financial derivatives transactions in the international system, it will have a effective supervision.
通过建立双边、区域性和全球性不同层次的金融衍生品交易监管的国际体系,协调具体监管规则,以对金融衍生品交易有效监管。
Finally, the banking sector to improve supervision of financial derivatives arrangement ideas and strategies.
最后,提出完善银行业金融衍生品监管的思路和策略安排。
应用推荐