Interest Rate Risk Management的意思|示意
利率风险管理
Interest Rate Risk Management的网络常见释义
利率风险管理 文献综述 利率风险管理(Interest Rate Risk Management)是伴随着利率风险这一主要市场风险的出现而产生的,是指商业银行为了控制利率风险并维持其净利息收入的稳定增长而对它的资产负债...
品牌营销和传播 ... Model Implementation 体育营销和赞助 Interest Rate Risk Management 品牌营销和传播 Commodity & Energy Markts 体育行业中的创业 ...
Interest Rate Risk Management相关短语
1、 interest-rate risk management techniques 利率风险管理技术
2、 interest rate risk management mechanism 利率风险管理机制
Interest Rate Risk Management相关例句
The commercial bank itself undertakes various types risk in the operation, including credit risk, interest rate risk, fluid risk, management risk, capital risk and policy risk and so on.
商业银行在运营中本身承担着各种类型的风险,包括信用风险、利率风险、流动性风险、管理风险、资本风险和政策风险等。
In this paper, commercial Banks expressions of interest rate risk on the basis of the current conditions of the practical interest rate risk management strategies.
本文在商业银行利率风险表现形式分析的基础上,探析在现实国情下的切实可行的利率风险管理对策。
The second chapter summarizes the theories of interest rate risk management of commercial Banks.
第二章介绍了商业银行利率风险管理理论。
The second part introduces the interest rate risk, the source of the interest rate risk, the interest rate risk management, the interest rate risk management mechanism etc. theories.
第二部分介绍了利率风险、利率风险的来源、利率风险管理和利率风险管理机制等理论。
We should press on with the building of the interest rate risk management system with reference to the key principle on it in Basel Agreement.
我国商业银行应参照巴塞尔利率管理的核心原则,积极推进利率风险管理体系的建设。
The corporation use financial derivative instruments to hedge, mainly performance in the management of interest rate risk, foreign exchange risk, stock risk and so on.
企业利用衍生金融工具进行规避风险,套期保值,主要表现在对利率风险、外汇风险、股票投资风险等风险的管理上。