投资银行风险管理

投资银行风险管理投资银行风险管理
  1. 国外投资银行风险管理现状与启示

    On the Management Situation of Foreign Investment Bank Risk and Its Reference to China

  2. 我国投资银行风险管理的理论与方法研究

    The Research on Theory and Methodology of Risk Management in Investment Bank of China

  3. 国际金融危机凸显了投资银行风险管理的重要性,并引起学术界与实务部门对风险管理技术更多的关注。

    The international financial crisis highlights the importance of risk management , investment banking , and lead to the academic community with substantive departments on risk management techniques more attention .

  4. 第三章首先分析了投资银行风险管理的内涵、风险管理的目标,阐述了风险管理的轴心-风险和收益的相机抉择和风险的识别、衡量、控制和决策的管理程序。

    In section 3 , this paper firstly analyzes the connotations and objectives of risk management in investment bank . Secondly , it discusses the core issues on contingent claims of the risk-return and managerial procedures of risk identifying , measuring , controlling and decision-making .

  5. 美国投资银行制度风险管理的经验与启示

    The Experience and Implications of American In-vestment Banks ' Management of Institutional Risk

  6. 投资银行市场风险管理研究

    The Research on Market Risk Management in Investment Bank

  7. 证券公司投资银行部风险管理初探

    Preliminary Research on Risk Management of the Investment Bank Department in the Security Company

  8. 论我国投资银行的风险管理

    Risk Management of China 's Investment Bank

  9. 当投资银行提供风险管理建议时,期货投资者真的会把它们当回事吗?

    Will future investors really take investment banks seriously when they proffer advice about risk management ?

  10. 同时要借鉴国际投资银行的风险管理技术和经验,加强交流和沟通,并逐步与国际接轨;

    At the same time , we should use for reference technology and experience of International Investment Bank on risk management , reinforce intercourse and communication between Sino-Foreigns Securities Co.

  11. 高盛的经历证明,一家投资银行或许在风险管理和交易方面经验丰富。

    A bank can be highly skilled in risk management and trading , as Goldman has proved .

  12. 第二章主要介绍了投资银行的风险类别以及生成原理,同时提出了投资银行的风险管理体系构成;

    Chapter II will tell you the types and origins of investment banking risks as well as the composing of the risk management system .