《金融风险管理》是2009年3月1日中国财政经济出版社出版的图书,作者是刘海龙、王惠。
金融风险管理 Financial Risk Management ; MSc Financial Risk Management ; Managing Financial Risk ; Financial l Risk Management
金融风险管理师 FRM ; Financial Risk Manager ; FRM charter holder
注册金融风险管理师 CFRM ; Certificated Financial Risk Manager ; Certiffed Finacial Risk Manager ; Certified FRM
国际金融风险管理师 FRM
美国金融风险管理师 FRM
金融风险管理硕士 MSc Financial Risk Management ; Financial Risk Management MSc ; Finance with Risk Management MSC ; Master Of Financial Risk Management
FRM金融风险管理师 gaodunfrm
金融风险管理师手册 Financial Risk Manager Handbook ; FRM Handbook
企业和金融风险管理 MSc Corporate and Financial Risk
金融风险管理手册 The Financial Risk Manual ; Financial Risk Manager Handbook
·2,447,543篇论文数据,部分数据来源于NoteExpress
金融风险管理的实质是寻求风险损失与风险收益的平衡。
Financial essence of risk management to seek risk between loss and risk balance of income.
本文的研究对金融风险管理和投资决策具有重要的参考价值。
The researches have important reference value for financial risk management and investment decision.
金融风险管理是现代金融理论的核心和前沿问题,也是我国面临的重大现实问题。
Financial risk management is the core and frontier problem in modern financial theory; it is a critical and practical issue which our country is facing as well.
Basel 1988 was an effort to make sophisticated risk management requirements for banks that relied on more modern, as of 1988, financial theory.
988年的巴塞尔协议就是致力于,在当时最新的金融理论基础之上,建立成熟完善的银行风险管理制度
What Harsanyi and Rawls both gave us was a system of justice that, in my mind, conveys a sense of financial risk management.
在我看来,海萨尼和罗尔斯向我们阐述的,是一种公正机制,融合了金融风险管理意识。
Because the financial risk management system that we have is imperfect, we aren't there yet.
因为我们的金融风险管理体系,存在缺陷,还并不完善。
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