In this paper we present a new robust asset and liability model, which considers the uncertain interest rate's influence on future cash flows, capital cost and return of assets.
本文提出一种新的稳健资产负债模型最优化模型。该模型考虑了利率的不确定性对未来现金流、资金成本和资产收益率的影响。
FDI regulation analysis based on host country's industry security includes cost-return analysis and FDI regulation model and structure.
基于东道国产业安全的外资管制分析包括外资的成本分析和收益分析,以及外资管制的模型和框架。
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