Financial Risk Calculates Theory, Portfolio Theory and Asset Pricing Theory established the theoretical sill of management of modern finance.
金融风险度量理论、资产组合理论和资本定价理论奠定了现代金融管理理论的基石。
Mr Monti reserved the finance portfolio for himself and said he intends to serve a full term, until 2013.
马里奥·蒙蒂自己保留了财政的卷宗,他表示到2013年他想提供一份更为完整的系列资料。
The country's new leader said he would also take on the finance portfolio and his main aim was Italy's economic growth.
他表示,将实行金融组合方案,主要目标是促进意大利经济增长。
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