Options and Financial Derivatives 期权与金融衍生品 Quantitative Risk Management 计量风险管理 Risk Management in Financial Institutions金融机构的风险管理 ..
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这个方法在McNeil,Frey,and Embrechts的《量化风险管理》(Quantitative Risk Management)一书中有推荐,利用最大值方法找到压力测试情况下的收益水平。
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Quantitative Finance and Risk Management 定量金融和风险管理
Quantitative Finance Risk management 羙 ; 定量金融风险管理
Quantitative Financial Risk Management 计量金融风险管理 ; 定量金融风险管理
Quantitative Financial Risk Management MSc 定量金融风险管理
credit risk quantitative management 信用风险量化管理
The quantitative risk management technique has the incomparable advantage, but it can't carry on the management to the artificial factor within the risk factors.
定量化风险管理技术有其无可比拟的优势,但无法对风险因素中的人为因素进行管理。
This case describes the general methods of corporate financial risk management, including qualitative analysis and quantitative analysis.
本案例描述了企业财务风险管理的一般性方法,包括定性分析法和定量分析法。
Therefore it is of very important significance on theory and reality to bring quantitative analysis into the financial crisis forewarning model for credit risk management of commercial bank.
因此对商业银行信贷风险管理引入财务危机预警模型进行定量分析具有十分重要的理论和现实意义。
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