如何管理操作风险则成为国际金融界理论研究与实践的前沿问题。
How to manage operational risk becomes the forward problem in international finance's theory research and practice.
其应用领域主要有行为资产管理实践、行为公司财务理论与实践、行为金融物理研究等。
Several specific applications of behavioral finance include behavioral assets management practice, behavioral corporate financial theory and practice, and behavioral econophysics studies.
本文从国内商业银行的实际出发,深入分析和研究了国际银行界在金融风险管理方面的先进的理论与实践。
This article from domestic commercial Banks reality, in-depth analysis and study of the international banking sector in financial risk management aspects of the advanced theory and practice.
指出这一系统的研究对于解决当前网上证券金融信息增加与查找利用的矛盾,对于网上信息资源管理理论与应用的研究具有重要意义。
This system is important to solve the contradiction between information increasing and searching, and to promote the theory and practice research of Web information resources management.
本文的选题源于中国人民银行与中国金融研究中心合作课题《国库现金管理与国债市场操作》。
This thesis comes from a research topic "Government Cash Management and T-Bills Operation", which is cooperated by the People's Bank of China and Chinese Finance research Institute of SWUFE.
期权及其定价理论是目前金融管理、金融工程研究的前沿与热点问题。
Options and the pricing theory of options are the frontiers fields in today's financial management and financial engineering research.
主要研究方向及特色:目前研究兴趣:商业银行经济理论与信用风险管理、公司金融、行为金融、保险经济学、合约理论。
Current Research Interests: economics and credit risk management of banking, corporate finance theory, behavioral finance, economics of risk and insurance, contract theory.
主要研究方向及特色:目前研究兴趣:商业银行经济理论与信用风险管理、公司金融、行为金融、保险经济学、合约理论。
Current Research Interests: economics and credit risk management of banking, corporate finance theory, behavioral finance, economics of risk and insurance, contract theory.
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