信用风险是金融市场上的主要风险之一,因此,对信用风险的度量和管理一直以来都是商业银行面临的重大课题。
Credit risk is one of the most serious risks on financial market, so how to measure and manage credit risks is a key subject which commercial Banks face all the time.
而开放式基金的市场风险度量作为风险管理和防范的核心,它直接决定了风险管理和防范的有效性。
As the core of risk management and the guard, the measurement of the market risk decide the validity of the risk management and the guard directly.
而开放式基金的市场风险度量作为风险管理和防范的核心,它直接决定了风险管理和防范的有效性。
As the core of risk management and the guard, the measurement of the market risk decide the validity of the risk management and the guard directly.
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