Derivatives & Risk Management 衍生工具与风险管理
n Derivatives and Risk Management 衍生品的研究 ; 衍生品的研讨
Derivatives and Risk Management 风险管理 ; 衍生证券与风险管理
Risk Management and Derivatives 风险管理与衍生工具
Financial derivatives and risk management 专业选修课
Derivatives and Risk Management Techniques 衍生品与风险管理技术
Derivatives ƥ and Risk Management 衍生品与风险管理
When teaching derivatives or risk management courses, ensure that the models' flaws are emphasised and highlight the potentially negative real consequences of such defects.
当教授衍生产品和风险管理课程是,要保证强调模型的缺点所在和其潜在的一系列负面影响。
The 12-credit core includes courses on valuation and derivatives, while electives cover financial restructuring and risk management.
12学分的核心课程包括股价估值和衍生物品种,同时选修课包括金融结构和风险管理。
The function of financial derivatives transaction is also changing from risk protection to risk management and risk allocation.
金融衍生交易的功能也正在从风险防范向风险管理与风险配置转变。
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