本文的研究成果将对我国期货公司操作风险控制机制的完善提供理论和实践依据。
This paper will provide theoretical and practical basis for improvement in our futures companies' operation risk control mechanisms.
我国银行业无论是在操作风险理论研究还是在操作风险控制实践上均存在很大缺陷,这已成为制约我国银行业操作风险控制研究的主要障碍。
Chinese bank industry have some big deficiency in research of operational risk and practice of operational risk control which become the main obstacles to study the operational risk control.
操作风险的衡量和控制都是在这些组合的基础上实现。
Groups of key activities and risk factors are established to measure and control operation risks.
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