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- Will Credit Risk Weigh Down Debt Markets? 投資者對信貸風險的擔心正在影響金融業?
- Principles for the Management of Credit Risk, Sep. 信用風險管理原則。
- Is There Profit in China's Foreign Credit Card Market? 外資信用卡不賺錢?
- If the hedged risk is a credit risk or foreign exchange risk, the held-to-maturity investment may be designated a hedged item. 第十條被套期風險是信用風險或外匯風險的,持有至到期投資可以指定為被套期項目。
- He's a bad credit risk(= he is unlikely to pay the money later). 他有欠賬不還的危險。
- Banking - Customer affinity analysis, credit risk analysis. 銀行客戶關係分析,信用風險分析。
- The second is the rating agencies, the new arbiters of credit risk. 第二股力量是評級機構,信貸風險新的仲裁者。
- Chapter Two introduces in detail the modern models for measuring credit risk applied in foreign countries and analyzes their adoptability in our country by comparison. 第二章全面系統地闡述國外現代的信用風險度量模型,通過比較,就其對我國的可借鑒性作出分析。
- Besides, third part describes the credit risk measurement model of foreign banks, and summarizes the excellent experience of their credit risk management under the IRB approach. 除此之外,本文還簡略介紹國外商業銀行的內部評級法的開發應用情況,並總結了他們的先進經驗,找出我國商業銀行的不足之處。
- The question is why financial systems are so liable to turn foreign credit into ruinous busts. 問題是為什麼金融系統這麼容易把外國信貸變成毀滅性的經濟破產。
- Worried about credit risk? You should fret more about pension funds than banks. 擔憂信貸風險?你受養老金的困擾應該甚於銀行。
- On the borrowing side, Canada has often debated the exigencies and dangers of taking in so much foreign credit year after year. 處於借款國一方的加拿大,常常對年復一年地接受如此大量的外國信貸的緊迫性和危險性爭論不已。
- Credit risk: The risk that a debt issuer may default on payments. A. 信貨風險,信用風險:債務發行機構違約不償債的風險,又稱對手風險。
- Banks can minimise their credit risk by vetting borrowers carefully. 銀行可以通過核查借貸者的狀況來讓信用風險最小化。
- Comparing with previous studies, we take CB's credit risk into account. 與以往的研究相比,本文在定價中考慮了可轉債的信用風險。
- Institutions to promote the trustee, to establish a good credit risk reduction. 七、推動機構受讬人,建立良好信用降低風險。
- Information asymmetry is the source of consumer loan credit risks. 信息不對稱是消費信貸信用風險產生的根源。
- And it is not just credit risks that are of concern to banks. 銀行所關注的亦不僅限於信貸風險。
- Underpinning the rise were increasing government action against foreign investors in Latin America and central Asia and credit risks in Eastern Europe. 導致這一風險指數上升的主要因素是,拉美和中亞國家的反外資行動日益增加,以及東歐的信貸風險不斷上升。
- Actually Basle capital accord can be perfected gradually through investigation and research on credit risk. 實際上巴塞爾資本協議也正是在不斷的調查研究的基礎上逐步得到完善。