The second chapter analyzes the credit risk, marketing risk and operating risk, according to ways of risk management: risk identify, risk balance, risk supervisory and risk control.

 
  • 第二章按照风险管理的步骤:风险识别、风险衡量、风险监督与控制,从新巴塞尔协议风险管理涵盖的三个方面:信用风险、市场风险和操作风险分别介绍了新资本协议下怎样进行风险管理。
今日热词
目录 附录 查词历史