1.
A Theoretical and Empirical Study of Hedging of Corporate Foreign Debt Risk Management;
企业外债风险管理的套期保值理论及实证研究
2.
The Application of Financial Derivation in Foreign Currency Debt Risk Managerment;
金融衍生工具在外债风险管理中的应用
3.
In the Conditions of Opening Economy, Study on the Risk Management of Foreign Debts of Enterprises;
开放经济条件下企业外债风险管理研究
4.
Adjusting forex administration policies to help enterprises avoid foreign debt risk;
适时调整外汇管理政策,支持企业防范外债风险
5.
Interest Rate Risks and Measures in the Management of Foreign Debts;
论外债管理中利率变动的风险及其测度
6.
Improving Debt Supervision and Reducing the Paying Risk;
加强政府债务管理 减少财政偿债风险
7.
Large Commercial Bank Overseas Branch Bond Investment Policies and Risk Management;
大型商业银行海外分行债券投资策略和风险管理
8.
Liabilities Risk Management Research of Expressway Project;
高速公路贷款项目负债风险管理研究
9.
The Apply of VaR Method to the Management of the Interest Rate Risk of the Treasury Security;
VaR方法在国债利率风险管理中的应用
10.
Study for Treasury Bond's Interest Rate Risk of Commercial Banks in China
我国商业银行国债利率风险管理研究
11.
A Study on ALM for Insurance Enterprise Based on Interest Rate Risk;
基于利率风险的保险公司资产负债管理研究
12.
Foreign Debt Indicators & Foreign Debt Risks Situations in China;
外债风险指标体系及中国外债风险状况分析
13.
A Theoretical & Methodological Probe into Risk Management for Overseas Insurance Industry;
海外保险业风险管理理论与方法探讨
14.
Risk Control and Management of Life Insurers;
寿险公司风险控制与管理——动态资产负债管理的视角
15.
You will also learn about the debtor risks management.
你将同时学习到债务人风险管理方面的知识。
16.
The Risk-Profit Analysis on Asset Liability Management Research Of a Commercial Bank;
商业银行资产负债管理的风险收益权衡分析
17.
The Study of Interest-rate Risk Management on China s Bonds Financial Derivatives;
我国国债金融衍生产品利率风险管理研究
18.
Term Structure and Interest Rate Risk Management in Chinese Bond Markets;
债券市场利率期限结构分析及其风险管理研究