指出风险管理原则是风险控制模型的一项核心组成部分。
Point out that risk management principle is a core component of the model of risk control.
可是银行和对冲基金不是已经雇用数学家为自己设计了精巧的风险控制模型了吗?
Don't Banks and hedge funds employ mathematical geniuses who develop highly sophisticated models to control these risks?
随着机构投资者进入市场并利用自己的内部风险控制模型来增加市场的强度,P2P借贷变得日益重要起来。
With institutional investors entering the market and applying their own internal risk model to add an extra layer of robustness, P2P lending is gaining in importance.
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