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- Financial Risk Detection 财务风险识别
- Probability and financial risk management programs. 概率和金融风险管理等课程。
- Managing and control of financial risk in China II. 中国金融风险的管理与控制2。
- How much financial risk is involved? 存在多大的金融风险
- Study on early-warning mechanism of financial risk II. 金融风险预警机制研究2。
- There is very little innovation because of financial risk averseness. 创新较少是由于财务方面的压力。
- There is no financial risk in selling to East European countries on credit. 向东欧国家赊销没有财务风险。
- The national financial risk has become the most serious macro economic risk. 国家财政风险已成为一个最深层次的宏观经济风险。
- How to select indices to measure financial risks? 如何选择度量金融风险的指标?
- Guarding against and reducing financial risks. (五)防范和化解金融风险。
- Hedging does not necessarily remove all of a company's financial risk. 套做并不能消除公司全部财务风险。
- A farm represents huge investments and financial risks. 一家农场代表着巨大的投资和资金冒险。
- Leverage is an important strategy in enterprises but it can involve financial risk. 负债经营是企业一项重要的财务战略,它可为企业创造杠杆效益,但也能使企业陷入财务危机。
- Suiting the needs of financial internationalization and guarding against financial risk, our financial system should be going on reforming. 摘要适应金融国际化和防范金融风险的需要,我国的金融体制应继续进行改革。
- IB has advised me that future trading is highly speculative and carries serious financial risk. 己向本人作出劝告期货交易是高度投机和可能带来严重财政风险。
- IB has advised me that spot bullion, foreign currency trading is highly speculative and carries serious financial risk. 己向本人作出劝告,贵金属、外币交易是高度投机和可能带来严重财政风险。
- This way we maintain continuous control over our financial risk until the final payment is made. 在付清款项前,这种方式可控制财务风险。
- Financial risk exposed in Chinese commercial banks comes mainly from low efficient internal control characterized by unsystematic control pattern. 摘要我国商业银行金融风险的产生多是由内部控制低效造成,而内部控制低效又源于控制模式的不规范。
- Moreover, the fields of science or ecology might offer useful lessons about how to manage systemic financial risk. 此外,科学或生态学领域或许能为如何管理系统性金融风险提供有益的教训。
- Value-at-Risk(VaR) is a model developed in recent years to quantize and control financial risk. 在险价值是近年来发展起来的一种用于量化和控制金融风险的模型。