portfolio policy 证券政策
rural areas also face challenges that have only recently become part of the rural development policy portfolio.
同时,农村也面临着新的挑战,最近这种挑战也得到政策制定者的重视。
In order to effectively manage longevity risk, we can use many methods such as policy term, product portfolio, reinsurance, longevity bond and financial derivatives, to control and prerent the risk.
为有效控制长寿风险,可以利用保单条款控制风险、利用产品组合“对冲”风险、利用再保险分散风险、风险证券化以及开发金融衍生工具对冲风险。
Study on volatility spillover in financial markets is important for portfolio allocation, financial risk prevention, and related policy making.
金融市场中的波动溢出效应研究对资产组合配置、金融风险防范以及相关政策制定具有重要意义。
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