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- asset portfolio management 资产组合管理
- Portfolio management capability can be matured. 项目组合管理功能可以成熟。
- Journal of Portfolio Management. 有价证券管理杂志》本刊为探索和开发投资决策的理论与实践经验的应用提供一个论坛。
- Thirdly, it introduces the theories of portfolio management, asset pricing, arbitrage pricing, options pricing, hedge, comprehensive risk management. 详细介绍了资产组合管理理论、资本资产定价理论、套利定价理论、期权定价理论、套期保值理论和综合风险管理理论等风险管理理论工具。
- Section 2 systemically introduces the theories of portfolio management, asset pricing, arbitrage pricing, options pricing, comprehensive risk management. 第二章详细介绍了资产组合管理理论、资本资产定价理论、套利定价理论、期权定价理论、套期保值理论和综合风险管理理论等风险管理工具。
- Alan is a senior portfolio manager of a pension fund in a large asset management corporation. He is a. 亚伦是一间大型资产管理公司的投资组合高级经理,负责管理退休基金,同。
- Integrated with popular trade and portfolio management systems. 与流行的交易和投资组合管理系统相链接。
- This risk diversification allows an FI to predict more accurately its expected return on its asset portfolio. 这种风险转化的多样性能够使金融中间人对他们所投资的财产有价证券的预期收益作出更准确地判断。
- Banque Piguet specialises in private banking, institutional asset management and services to independent portfolio managers. 瑞士宝华银行提供私人银行服务、机构资産管理和独立投资组合经理的专业服务。
- Though this asset portfolio that we have designed has still some imperfections, it has created a great deal chance of making profits. 虽然我们设计的这种资产组合仍有不尽完美之处,但却创造了诸多盈利的可能与机会。
- Portfolio Management The art and science of making decisions about: investment mix and policy, matching investments to objectives, asset allocation for individuals and institutions, and balancing risk vs. Performance. 投资组合管理作出投资组合及政策、达成投资目标、个人及机构资产分配及平衡风险与表现等重要决定,是艺术也是科学。
- From the angle of mutual joining network in the capital market, we discuss the problem of financial asset portfolio optimization and balance scale. 从资本市场互联的网络角度;讨论金融资产组合优化与均衡规模问题.
- My portfolio manager will job these funds for me. 我的投资经理人会为我把这些资金进行风险投资。
- Further, as the umber of securities in an FI's asset portfolio increases, portfolio risk falls, albeit at a diminishing rate. 而且,随着债券种类在金融中间人的财产证券中的增加,有价证券的风险降低了,虽然降低幅度很小。
- This reason is that it ignores the different risk preference of individual bank and banks may choose asset portfolio at high risk to retard the efforts of the regulators. 理由在于:传统资本管制方法忽略个别银行风险态度的差异性,银行可藉由投资策略的调整,提高其风险性资产之持有比率,以资突破资本管制对银行获利空间的藩限。
- The writer is Associate Director, Portfolio Management of Morgan Grenfell (Asia) Limited. 作者是摩根建富亚洲的准董事。
- We handed our finances over to our portfolio manager. 我们把我们的财务计划交给了我们的产品经理。
- Obviously, the bond fund and so on regular earnings class product should be the asset portfolio disposition conventional investment variety, but certainly not temporary “expedient base”. 可见,债券基金等固定收益类产品应是资产组合配置的常规投资品种,而绝非一时的“权宜之基”。
- The IRB approach of the policy bank has abroad usage in portfolio management, loan pricing, EC allocation and performance assessing. 此外,政策性银行的内部评级法在资产组合管理、贷款定价、经济资本配置和绩效考核等方面也具有非常广泛的作用。
- The Office EPM Solution addresses the needs for collaborative project and portfolio management in an organization. Office EPM Solution可满足组织协作项目和项目组合管理的需要。