本文利用实物期权方法在风险中性概率测试下研究公司的债务与内生破产问题。
This paper adopts the real option approach to examine corporate debt and endogenous bankruptcy in a risk-neutral framework.
研究了在保费收取随机的情况下,含利息力因素的特殊双险种风险模型破产问题。
A special double type-insurance risk model whose premium is a stochastic process with interest force was further studied.
美联储已经有了类似的机构;它没有起到效果,因为美联储关心的是银行的破产问题,而非银行的顾客的破产问题。
The Fed already has such a bureau; it is ineffectual because the Fed CARES about the solvency of Banks, not the solvency of their customers.
The problem is, if your brokerage firm fails you could lose a lot; you could lose your cash account and your security account.
可问题是,一旦经纪公司破产,你可能损失惨重,赔光你现金账户和证券账户上所有的资金
It's exposing defects in many of our biggest financial institutions and every day we see more news about failures, huge losses, resignations, or firings of top finance people.
这次金融危机暴露了,很多大型金融机构存在的问题,每天我们都看到很多关于,破产,巨额亏损,或者金融业高层,辞职或被炒鱿鱼的新闻
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