负责制定和完善银行业金融机构的统计标准、统计制度及统计方法,并发布实施。
To enact and improve the statistical standards for the banking financial institutions, statistical rules and methods and promulgate and implement accordingly.
使用的购物清单和金融统计,发现新的方法来减少你的时间损失和费用!
Use shopping lists and financial stats to discover new ways to decrease your time lost and expenses!
国有银行脆弱性表现在哪里,与金融结构扭曲有何内在关联,本文用统计学方法进行系统研究。
The paper will, using statistics, analyze the phenomena of the frangibility and its relationship with the distortion of finance system.
我们依靠计量经济学和抽样统计的方法可以预估上海民间金融的大致规模。
We rely on econometric and statistical sampling method which can be estimated roughly Shanghai's nongovernmental financial scale.
这一影响也被现行金融业贡献统计方法所完全忽视。
That effect, too, is completely missed by existing statistical measures of the contribution of the financial sector.
对每一问题,我们讨论了合适的统计概念、模型和方法,以及它们在金融数据分析中的一些应用。
For each financial context, we discuss suitable statistical concepts, models and methods, as well as some of their applications to financial dat...
内容提要:模型平均方法是当代统计学和计量经济学界研究的国际前沿问题,在经济、金融、生物、医学等领域有着广泛的应用前景。
Abstract: Model averaging is a frontier topic in Statistics and Econometrics. It has wide applications in many fields like Economics, Finance, Biology and Medicine.
这些金融风险度量方法都是以统计学、数理知识为主要的研究工具,结合实际的市场背景和经济意义来量化金融风险的。
These risk measurements set their bases on statistics and mathematical algorithms, combined with marketable movement. The main works of this paper are as follows: 1.
这些金融风险度量方法都是以统计学、数理知识为主要的研究工具,结合实际的市场背景和经济意义来量化金融风险的。
These risk measurements set their bases on statistics and mathematical algorithms, combined with marketable movement. The main works of this paper are as follows: 1.
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